Recent Annual Filings for SABR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,634,929,000 $3,029,565,000 $3,310,025,000 $-278,506,000 $70,594,000 $39,572,000 $76,274,000
2023 $4,672,194,000 $2,907,738,000 $3,401,257,000 $-536,131,000 $55,814,000 $-94,219,000 $-146,679,000
2022 $4,962,875,000 $2,537,015,000 $2,960,448,000 $-418,222,000 $-279,717,000 $-75,370,000 $-183,468,000
2021 $5,291,330,000 $1,688,875,000 $2,627,262,000 $-870,637,000 $-418,152,000 $-50,558,000 $-500,274,000
2020 $6,077,722,000 $1,334,100,000 $2,648,345,000 $-1,258,195,000 $-773,177,000 $1,837,741,000 $1,063,489,000
2019 $5,689,957,000 $3,974,988,000 $3,775,350,000 $145,964,000 $578,877,000 $-409,721,000 $-73,089,000
2018 $5,806,381,000 $3,866,956,000 $3,468,543,000 $320,693,000 $722,902,000 $-306,506,000 $147,884,000
2017 $5,649,364,000 $3,598,484,000 $3,220,871,000 $281,959,000 $673,185,000 $-356,780,000 $-2,733,000