Recent Annual Filings for SBAC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $11,417,336,000 $2,679,634,000 $1,243,871,000 $604,213,000 $1,334,866,000 $645,742,000 $1,149,711,000
2023 $10,178,441,000 $2,711,584,000 $1,787,925,000 $471,828,000 $1,544,393,000 $-1,017,218,000 $61,663,000
2022 $10,585,041,000 $2,633,454,000 $1,708,046,000 $631,394,000 $1,285,700,000 $-135,474,000 $-246,343,000
2021 $9,801,699,000 $2,308,834,000 $1,526,339,000 $282,897,000 $1,189,896,000 $339,264,000 $92,818,000
2020 $9,158,018,000 $2,083,138,000 $1,449,444,000 $-214,822,000 $1,126,033,000 $-469,017,000 $201,688,000
2019 $9,759,941,000 $2,014,645,000 $1,431,157,000 $90,424,000 $970,045,000 $-62,314,000 $-37,180,000
2018 $7,213,707,000 $1,865,695,000 $1,321,529,000 $-84,994,000 $850,618,000 $-148,537,000 $74,005,000
2017 $7,320,205,000 $1,727,674,000 $1,269,173,000 $94,378,000 $818,470,000 $-294,574,000 $-81,675,000