Recent Annual Filings for SCVL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $1,124,133,000 $1,202,885,000 $1,105,399,000 $73,766,000 $102,638,000 $-15,286,000 $9,680,000
2024 $1,042,025,000
2023 $989,781,000 $1,262,235,000 $1,115,113,000 $110,068,000 $50,438,000 $-42,475,000 $-66,071,000
2022 $812,264,000 $1,330,394,000 $1,123,194,000 $154,881,000 $147,893,000 $-17,735,000 $10,911,000
2021 $642,747,000 $976,765,000 $955,215,000 $15,991,000 $63,395,000 $-6,669,000 $44,633,000
2020 $628,374,000 $1,036,551,000 $981,803,000 $42,914,000 $66,946,000 $-54,317,000 $-5,122,000
2019 $417,999,000 $1,029,650,000 $979,293,000 $38,135,000 $74,141,000 $-50,959,000 $18,767,000
2018 $415,580,000 $1,019,154,000 $981,741,000 $18,933,000 $40,348,000 $-35,385,000 $-14,690,000