Recent Annual Filings for SAIA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,166,857,000 $3,209,074,000 $2,733,066,000 $362,065,000 $583,702,000 $175,420,000 $-276,742,000
2023 $2,583,565,000 $2,881,433,000 $2,420,937,000 $354,857,000 $577,945,000 $-20,424,000 $108,825,000
2022 $2,174,710,000 $2,792,057,000 $2,321,569,000 $357,422,000 $473,026,000 $-26,712,000 $80,802,000
2021 $1,845,250,000 $2,288,704,000 $1,953,563,000 $253,235,000 $382,592,000 $-23,464,000 $81,280,000
2020 $1,548,774,000 $1,822,366,000 $1,642,045,000 $138,340,000 $309,145,000 $-65,268,000 $25,060,000
2019 $1,415,693,000 $1,786,735,000 $1,634,149,000 $113,719,000 $272,876,000 $6,209,000 $-1,946,000
2018 $1,133,743,000 $1,653,849,000 $1,512,672,000 $104,981,000 $256,436,000 $-36,378,000 $-2,526,000
2017 $967,647,000 $1,378,510,000 $1,288,732,000 $91,156,000 $157,846,000 $26,859,000 $3,181,000