Recent Annual Filings for SITE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,070,800,000 $4,540,600,000 $4,380,200,000 $114,100,000 $283,400,000 $-80,900,000 $24,600,000
2023 $2,828,900,000 $4,301,200,000 $4,078,000,000 $169,900,000 $297,500,000 $-18,300,000 $53,400,000
2022 $2,116,100,000 $3,475,700,000 $3,181,200,000 $242,500,000 $210,800,000 $-30,400,000 $-1,500,000
2020 $1,695,700,000 $2,704,500,000 $2,555,700,000 $121,500,000 $229,400,000 $-9,100,000 $36,200,000
2019 $1,443,300,000 $2,357,500,000 $2,266,000,000 $72,000,000 $130,800,000 $-37,300,000 $1,700,000
2018 $1,168,500,000 $2,112,300,000 $2,037,100,000 $73,400,000 $78,100,000 $86,800,000 $600,000
2017 $910,700,000 $1,861,700,000 $1,789,100,000 $55,500,000 $16,300,000 $82,500,000 $400,000