Recent Annual Filings for SMP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,814,126,000 $1,463,849,000 $1,389,860,000 $8,517,000 $76,693,000 $349,547,000 $7,557,000
2023 $1,293,047,000 $1,358,272,000 $1,276,556,000 $40,862,000 $144,260,000 $-109,611,000 $8,949,000
2022 $1,254,929,000 $1,371,815,000 $1,273,483,000 $51,021,000 $-27,533,000 $55,500,000 $150,000
2021 $1,197,961,000 $1,298,816,000 $1,168,351,000 $88,476,000 $85,564,000 $69,012,000 $2,267,000
2020 $956,540,000 $1,128,588,000 $1,021,209,000 $60,306,000 $97,896,000 $-71,516,000 $9,116,000
2019 $912,730,000 $1,137,913,000 $1,046,117,000 $58,922,000 $76,928,000 $-23,378,000 $-766,000
2018 $843,132,000 $1,092,051,000 $1,015,220,000 $37,518,000 $70,258,000 $-46,121,000 $-6,185,000
2017 $787,567,000 $1,116,143,000 $1,019,701,000 $44,895,000 $64,617,000 $-35,944,000 $-2,473,000