Recent Annual Filings for SWKH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $332,235,000 $44,987,000 $26,615,000 $13,488,000 $23,049,000 $-12,224,000 $691,000
2023 $334,254,000 $37,760,000 $-14,650,000 $15,887,000 $14,887,000 $33,140,000 $-921,000
2022 $299,621,000 $41,484,000 $-9,968,000 $13,491,000 $8,202,000 $-1,361,000 $-36,707,000
2021 $282,665,000 $56,155,000 $25,115,000 $25,929,000 $34,295,000 $-20,201,000 $39,855,000
2020 $273,901,000 $36,712,000 $31,923,000 $5,202,000 $19,268,000 $7,748,000 $-8,150,000