Recent Annual Filings for SLG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $10,470,099,000 $886,272,000 $155,642,000 $31,092,000 $129,595,000 $-252,229,000 $-3,881,000
2023 $9,531,181,000 $913,710,000 $-633,424,000 $229,503,000 $-449,383,000 $-48,535,000
2022 $12,355,794,000 $826,739,000 $25,886,000 $276,088,000 $-654,823,000 $47,070,000
2021 $11,066,629,000 $843,991,000 $502,163,000 $255,979,000 $-1,285,371,000 $-35,811,000
2020 $11,707,567,000 $1,052,744,000 $373,697,000 $554,236,000 $-1,479,301,000 $131,365,000
2019 $12,766,320,000 $1,238,995,000 $245,618,000 $376,473,000 $-528,650,000 $-37,683,000
2018 $12,751,358,000 $1,227,392,000 $267,294,000 $441,537,000 $-1,094,112,000 $29,087,000
2017 $13,982,904,000 $1,511,473,000 $1,346,445,000 $97,442,000 $548,373,000 $-681,077,000 $-151,555,000