Recent Annual Filings for SEM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,607,951,000 $5,187,105,000 $4,922,196,000 $253,797,000 $517,864,000 $-311,165,000 $-24,312,000
2023 $7,689,631,000 $6,664,058,000 $6,110,952,000 $254,036,000 $582,058,000 $-327,481,000 $-13,900,000
2022 $7,665,293,000 $6,333,538,000 $5,959,021,000 $274,346,000 $284,825,000 $-34,890,000 $23,596,000
2021 $7,360,171,000 $6,204,515,000 $5,634,769,000 $514,258,000 $401,228,000 $-647,385,000 $-502,751,000
2020 $7,655,399,000 $5,531,713,000 $5,054,068,000 $342,579,000 $1,028,073,000 $-671,541,000 $241,179,000
2019 $7,340,288,000 $5,453,922,000 $4,982,041,000 $201,031,000 $445,182,000 $32,251,000 $160,704,000
2018 $5,964,265,000 $5,081,258,000 $4,663,979,000 $176,942,000 $494,194,000 $255,572,000 $52,629,000
2017 $5,127,166,000 $4,443,603,000 $4,087,725,000 $220,645,000 $238,131,000 $-21,646,000 $23,520,000