Recent Annual Filings for SNDA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $841,921,000 $304,326,000 $319,159,000 $-3,280,000 $-1,782,000 $232,042,000 $21,337,000
2023 $621,460,000 $255,322,000 $276,473,000 $-21,107,000 $10,683,000 $-7,113,000 $-12,992,000
2022 $661,268,000 $238,433,000 $269,328,000 $-54,401,000 $-2,578,000 $-22,652,000 $-62,134,000
2021 $728,552,000 $234,718,000 $274,871,000 $125,607,000 $-28,266,000 $99,415,000 $60,706,000