Recent Annual Filings for SNCY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,623,627,000 $1,049,620,000 $922,120,000 $72,926,000 $174,120,000 $-42,137,000 $-39,248,000
2022 $1,524,412,000 $894,444,000 $838,736,000 $16,869,000 $127,440,000 $7,033,000 $-214,857,000
2021 $1,376,644,000 $623,015,000 $515,975,000 $77,470,000 $152,013,000 $212,382,000 $247,422,000