Recent Annual Filings for SHO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,149,321,000 $986,480,000 $775,210,000 $206,708,000 $198,131,000 $-119,721,000 $336,492,000
2022 $3,082,817,000 $912,053,000 $820,928,000 $90,766,000 $209,384,000 $-49,174,000 $-5,511,000
2021 $3,041,049,000 $509,150,000 $476,046,000 $32,995,000 $28,370,000 $-42,104,000 $-253,422,000
2020 $2,985,717,000 $267,906,000 $671,822,000 $-410,506,000 $-116,705,000 $-445,917,000 $-448,834,000
2019 $3,918,974,000 $1,115,167,000 $972,525,000 $142,793,000 $290,920,000 $-241,166,000 $2,604,000
2018 $3,972,833,000 $1,159,053,000 $898,227,000 $259,059,000 $305,291,000 $-158,599,000 $303,058,000
2017 $3,857,812,000 $1,193,638,000 $1,052,633,000 $153,004,000 $310,789,000 $-46,205,000 $118,465,000
2016 $3,739,234,000 $1,189,340,000 $1,018,925,000 $140,677,000 $305,413,000 $-282,780,000 $-129,530,000