Recent Annual Filings for SAIL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2021 $1,159,840,000 $438,954,000 $500,402,000 $-61,634,000 $-957,000 $1,498,000 $-74,480,000
2020 $1,075,600,000 $365,254,000 $380,937,000 $-10,763,000 $57,949,000 $12,548,000 $66,524,000
2019 $990,078,000 $288,515,000 $301,603,000 $-8,500,000 $50,091,000 $361,699,000 $372,884,000
2018 $534,434,000 $248,920,000 $244,160,000 $3,670,000 $37,540,000 $-65,575,000 $-38,891,000