Recent Annual Filings for SKYW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,139,867,000 $3,527,920,000 $3,095,777,000 $322,805,000 $692,462,000 $-384,750,000 $79,085,000
2023 $7,026,293,000 $2,935,432,000 $2,895,123,000 $38,469,000 $736,334,000 $-667,813,000 $45,293,000
2022 $7,414,553,000 $3,004,925,000 $2,912,342,000 $69,151,000 $480,376,000 $269,081,000 $-155,437,000
2021 $7,125,947,000 $2,713,491,000 $2,562,881,000 $111,910,000 $831,820,000 $-90,600,000 $42,698,000
2020 $6,887,622,000 $2,127,106,000 $2,134,433,000 $-8,515,000 $633,563,000 $178,425,000 $128,517,000
2019 $6,657,129,000 $2,971,963,000 $2,525,658,000 $340,131,000 $721,030,000 $-305,174,000 $-241,178,000
2018 $6,313,212,000 $3,221,679,000 $2,855,365,000 $280,390,000 $802,534,000 $327,462,000 $146,592,000
2017 $5,458,279,000 $3,204,268,000 $2,816,069,000 $428,928,000 $684,124,000 $102,239,000 $35,026,000