Recent Annual Filings for SGU

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $875,478,000 $1,952,862,000 $1,906,933,000 $34,028,000 $123,658,000 $-64,890,000 $30,571,000
2022 $912,475,000 $2,006,558,000 $1,957,532,000 $33,720,000 $33,907,000 $8,572,000 $9,853,000
2021 $853,863,000 $1,497,086,000 $1,375,674,000 $88,656,000 $68,877,000 $-70,695,000 $-52,144,000
2020 $838,616,000 $1,467,458,000 $1,390,915,000 $57,862,000 $175,668,000 $-95,515,000 $52,012,000
2019 $752,706,000 $1,753,872,000 $1,728,718,000 $18,777,000 $97,382,000 $-24,848,000 $-9,632,000
2018 $729,971,000 $1,677,837,000 $1,614,730,000 $56,034,000 $57,460,000 $-30,135,000 $-37,927,000
2017 $673,917,000 $1,323,555,000 $1,276,279,000 $28,897,000 $21,058,000 $-41,157,000 $-86,480,000
2016 $692,970,000 $1,161,338,000 $1,082,666,000 $46,716,000 $101,957,000 $-43,646,000 $38,680,000