Recent Annual Filings for SAFT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,094,004,000 $930,956,000 $906,536,000 $46,222,000 $52,114,000 $-63,531,000 $12,852,000
2022 $1,972,569,000 $797,559,000 $737,978,000 $-58,556,000 $44,326,000 $-62,641,000 $-38,303,000
2021 $2,117,391,000 $884,911,000 $720,641,000 $101,762,000 $141,394,000 $-65,571,000 $9,834,000
2020 $2,054,273,000 $846,248,000 $671,478,000 $163,548,000 $109,460,000 $-64,574,000 $9,362,000
2019 $2,022,669,000 $877,753,000 $754,072,000 $138,497,000 $112,456,000 $-52,667,000 $6,825,000
2018 $1,856,240,000 $836,497,000 $732,246,000 $60,379,000 $127,691,000 $-48,813,000 $-4,126,000
2017 $1,807,279,000 $839,113,000 $752,413,000 $70,813,000 $82,040,000 $-45,460,000 $21,656,000
2016 $1,758,246,000 $819,822,000 $726,540,000 $63,964,000 $98,824,000 $-42,014,000 $-27,442,000