Recent Annual Filings for SPFI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,232,239,000 $240,899,000 $177,607,000 $40,770,000 $59,381,000 $-16,530,000 $28,924,000
2023 $4,204,793,000 $212,033,000 $132,616,000 $76,179,000 $58,539,000 $180,112,000 $95,275,000
2022 $3,944,063,000 $161,168,000 $88,017,000 $-20,570,000 $123,590,000 $33,329,000 $-251,938,000
2021 $3,901,855,000 $135,036,000 $61,915,000 $50,977,000 $96,271,000 $250,084,000 $186,514,000
2020 $3,599,160,000 $138,231,000 $81,628,000 $65,734,000 $5,627,000 $292,809,000 $142,208,000
2019 $3,237,167,000 $132,942,000 $96,241,000 $32,421,000 $30,484,000 $95,119,000 $-87,890,000