Recent Annual Filings for SPT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $428,341,000 $405,908,000 $467,209,000 $-61,891,000 $26,321,000 $-30,324,000 $36,723,000
2023 $396,585,000 $333,643,000 $399,421,000 $-66,135,000 $6,456,000 $53,957,000 $-26,222,000
2022 $293,920,000 $253,828,000 $303,702,000 $-50,609,000 $10,668,000 $-193,000 $-27,197,000
2021 $264,717,000 $187,859,000 $216,350,000 $-28,702,000 $14,817,000 $-100,000 $-7,401,000
2020 $239,669,000 $132,949,000 $164,477,000 $-31,655,000 $-11,352,000 $44,359,000 $-20,795,000