Recent Annual Filings for SBRA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $5,386,150,000 $647,514,000 $628,859,000 $18,438,000 $300,571,000 $-410,300,000 $-7,213,000
2022 $5,747,672,000 $624,811,000 $603,142,000 $-48,521,000 $315,733,000 $-161,707,000 $-61,954,000
2021 $5,966,707,000 $569,545,000 $488,875,000 $-83,366,000 $356,390,000 $30,140,000 $50,363,000
2020 $5,985,603,000 $598,569,000 $442,843,000 $110,894,000 $354,852,000 $-202,109,000 $16,380,000
2019 $6,069,299,000 $661,736,000 $582,520,000 $44,329,000 $372,475,000 $-646,180,000 $-10,515,000
2018 $6,665,303,000 $623,409,000 $335,852,000 $280,127,000 $358,543,000 $-627,301,000 $-527,791,000
2017 $7,032,277,000 $405,647,000 $246,631,000 $171,452,000 $133,486,000 $598,817,000 $492,231,000
2016 $2,265,919,000 $260,526,000 $190,321,000 $75,740,000 $176,739,000 $-300,898,000 $18,204,000