Recent Annual Filings for SKY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,923,341,000 $2,024,823,000 $1,823,968,000 $146,508,000 $222,704,000 $10,864,000 $-252,110,000
2023 $1,562,724,000 $2,606,560,000 $2,072,664,000 $395,275,000 $416,225,000 $-37,019,000 $318,027,000
2022 $1,234,619,000 $2,207,229,000 $1,876,800,000 $248,360,000 $224,479,000 $-19,936,000 $172,576,000
2021 $917,902,000 $84,899,000
2020 $781,700,000 $1,369,730,000 $1,284,676,000 $56,016,000 $76,743,000 $21,569,000 $84,219,000
2019 $699,954,000 $1,360,043,000 $1,401,346,000 $-59,530,000 $65,228,000 $-72,518,000 $-9,320,000
2017 $55,644,000 $236,504,000 $236,499,000 $5,000 $2,868,000 $3,725,000
2016 $54,978,000 $211,774,000 $209,901,000 $1,678,000 $3,853,000 $2,664,000