Recent Annual Filings for SPH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,272,761,000 $1,327,172,000 $1,155,922,000 $78,694,000 $160,585,000 $-72,501,000 $6,440,000
2023 $2,270,475,000 $1,429,194,000 $1,222,345,000 $125,681,000 $225,239,000 $-44,628,000 $9,974,000
2022 $2,103,726,000 $1,501,465,000 $1,295,138,000 $144,696,000 $220,547,000 $-127,820,000 $-1,708,000
2021 $2,051,730,000 $1,288,755,000 $1,075,519,000 $130,985,000 $226,552,000 $-189,809,000 $2,668,000
2020 $2,047,253,000 $1,107,897,000 $967,627,000 $61,168,000 $209,354,000 $-155,412,000 $699,000
2019 $1,998,348,000 $1,267,705,000 $1,116,851,000 $67,116,000 $226,781,000 $-180,989,000 $-2,723,000
2018 $2,101,199,000 $1,344,413,000 $1,186,279,000 $80,676,000 $208,542,000 $-167,077,000 $2,375,000
2017 $2,171,283,000 $1,187,886,000 $1,072,602,000 $55,015,000 $160,362,000 $-171,926,000 $-34,552,000