Recent Annual Filings for SATS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $57,108,894,000 $17,015,598,000 $17,293,507,000 $-1,615,963,000 $2,432,647,000 $-277,121,000 $-650,202,000
2022 $6,199,003,000 $1,998,093,000 $1,808,449,000 $208,118,000 $529,605,000 $-83,105,000 $169,009,000
2021 $6,045,204,000 $1,985,720,000 $1,768,710,000 $34,106,000 $632,226,000 $-1,147,345,000 $-359,938,000
2020 $7,073,352,000 $1,887,907,000 $1,775,434,000 $-133,281,000 $534,388,000 $-15,620,000 $-625,077,000
2019 $7,154,298,000 $1,886,081,000 $1,813,004,000 $-67,962,000 $656,322,000 $-885,311,000 $592,394,000
2018 $8,661,294,000 $2,091,363,000 $1,908,120,000 $-44,046,000 $734,522,000 $-136,563,000 $-1,502,754,000
2017 $8,750,014,000 $1,885,508,000 $1,689,201,000 $388,547,000 $726,892,000 $72,000 $-139,687,000
2016 $9,008,859,000 $3,056,730,000 $2,692,332,000 $172,936,000 $803,343,000 $1,475,689,000 $1,646,903,000