Recent Annual Filings for SWIM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $794,207,000 $508,520,000 $517,260,000 $-19,371,000 $61,307,000 $-22,021,000 $-45,357,000
2023 $835,003,000 $566,492,000 $576,552,000 $-2,394,000 $116,369,000 $-13,875,000 $70,768,000
2022 $869,683,000 $695,736,000 $682,015,000 $-9,597,000 $32,309,000 $3,775,000 $-8,934,000
2021 $794,483,000 $630,456,000 $683,986,000 $-64,332,000 $33,690,000 $60,018,000 $-14,497,000