According to SG Fleet Group latest financial reports the cash on hand of SGF is $84.85M, an increase of 31.74% to 2022. At the end of 2022 company had $64.40M cash on hand. This amount reflects the liquid assets available to the company, which are crucial for its operational flexibility, investment opportunities, and overall financial security.
Year | Cash on Hand | Change |
---|---|---|
2023 | $84.85M | 31.74% |
2022 | $64.40M | -59.12% |
2021 | $157.54M | 107.12% |
2020 | $76.06M | 12.04% |
2019 | $67.89M | - |