Recent Annual Filings for SCHL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,671,200,000 $1,589,700,000 $1,575,200,000 $15,400,000 $154,600,000 $-176,100,000 $-110,800,000
2023 $1,866,700,000 $1,704,000,000 $1,597,700,000 $76,100,000 $148,900,000 $-139,500,000 $-92,100,000
2022 $1,940,800,000 $1,642,900,000 $1,545,500,000 $70,300,000 $226,000,000 $-229,200,000 $-49,900,000
2021 $2,008,300,000 $1,300,300,000 $1,323,000,000 $12,700,000 $71,000,000 $-52,300,000 $-27,300,000
2020 $2,033,600,000 $1,487,100,000 $1,575,600,000 $-42,300,000 $2,100,000 $154,100,000 $59,700,000
2019 $1,878,500,000 $1,653,900,000 $1,627,900,000 $11,600,000 $116,400,000 $-25,700,000 $-57,800,000
2018 $1,825,400,000 $1,628,400,000 $1,629,900,000 $33,500,000 $141,500,000 $-32,000,000 $-52,200,000
2017 $1,760,400,000 $1,741,600,000 $1,653,700,000 $44,800,000 $141,400,000 $-4,100,000 $44,400,000