Recent Annual Filings for SENEA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,383,997,000 $1,458,603,000 $1,351,372,000 $58,426,000 $-82,963,000 $129,762,000 $-403,000
2023 $1,243,658,000 $1,509,352,000 $1,456,416,000 $39,118,000 $-212,796,000 $279,025,000 $1,352,000
2022 $947,030,000 $1,385,280,000 $1,314,935,000 $43,606,000 $30,152,000 $-33,898,000 $-48,933,000
2021 $909,348,000 $1,467,644,000 $1,286,577,000 $186,253,000 $183,180,000 $-136,302,000 $49,135,000
2020 $909,309,000 $1,335,769,000 $1,265,245,000 $-8,600,000 $127,317,000 $-84,938,000 $-778,000
2019 $848,882,000 $1,199,581,000 $1,237,660,000 $12,529,000 $97,116,000 $-167,740,000 $-3,622,000
2018 $1,070,431,000 $1,314,765,000 $1,320,032,000 $-25,294,000 $-13,187,000 $61,307,000 $3,110,000
2017 $946,019,000 $1,245,681,000 $1,225,654,000 $12,613,000 $24,324,000 $10,778,000 $3,390,000