Recent Annual Filings for SNCR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $293,825,000 $173,594,000 $151,912,000 $-9,251,000 $28,280,000 $-5,853,000 $9,297,000
2023 $310,337,000 $164,196,000 $174,842,000 $-36,172,000 $18,829,000 $-19,979,000 $2,650,000
2022 $398,072,000 $252,628,000 $251,306,000 $-18,862,000 $17,359,000 $-13,276,000 $-9,583,000
2021 $450,734,000 $280,615,000 $299,632,000 $-27,870,000 $4,945,000 $16,188,000 $-2,167,000
2020 $482,255,000 $291,670,000 $339,792,000 $-5,310,000 $-564,000 $9,991,000 $-4,912,000
2019 $532,023,000 $308,749,000 $416,537,000 $-106,345,000 $32,583,000 $-121,257,000 $-69,297,000
2018 $703,255,000 $325,839,000 $490,115,000 $-234,002,000 $-31,369,000 $-35,885,000 $-136,265,000
2017 $965,411,000 $402,361,000 $531,963,000 $-99,752,000 $-18,248,000 $-35,664,000 $34,692,000