Recent Annual Filings for SPSC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,031,230,000 $637,765,000 $538,289,000 $67,149,000 $157,398,000 $-23,026,000 $23,918,000
2023 $823,844,000 $536,910,000 $451,347,000 $69,457,000 $132,298,000 $15,970,000 $55,626,000
2022 $672,914,000 $450,875,000 $379,551,000 $53,170,000 $100,052,000 $-31,631,000 $-44,369,000
2021 $615,846,000 $385,276,000 $331,735,000 $44,171,000 $112,893,000 $-8,361,000 $57,829,000
2020 $526,458,000 $312,630,000 $259,950,000 $46,516,000 $88,562,000 $2,328,000 $-29,579,000
2019 $447,440,000 $279,124,000 $237,054,000 $34,971,000 $71,794,000 $-12,142,000 $45,339,000
2018 $386,123,000 $248,240,000 $219,900,000 $19,997,000 $55,015,000 $-3,775,000 $10,775,000
2017 $335,520,000 $220,566,000 $211,426,000 $1,543,000 $31,050,000 $-2,472,000 $7,250,000