Recent Annual Filings for SITC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $933,602,000 $277,467,000 $-249,058,000 $531,175,000 $112,044,000 $-2,457,312,000 $-501,365,000
2023 $4,061,351,000 $546,275,000 $278,509,000 $262,804,000 $238,533,000 $-250,615,000 $547,817,000
2022 $4,045,017,000 $552,353,000 $382,745,000 $177,830,000 $257,262,000 $-111,741,000 $-22,038,000
2021 $3,967,051,000 $532,864,000 $405,898,000 $128,098,000 $282,515,000 $-388,127,000 $-31,161,000
2020 $4,108,284,000 $460,333,000 $422,612,000 $34,399,000 $190,170,000 $-237,363,000 $55,285,000
2019 $4,093,622,000 $507,988,000 $405,504,000 $102,715,000 $270,154,000 $-254,278,000 $5,481,000
2018 $4,206,331,000 $707,255,000 $590,288,000 $115,718,000 $264,807,000 $-1,162,816,000 $-81,070,000