Recent Annual Filings for SPXC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,714,500,000 $1,983,900,000 $1,728,500,000 $163,000,000 $285,900,000 $53,100,000 $56,500,000
2023 $2,439,700,000 $1,741,200,000 $1,554,900,000 $93,500,000 $208,500,000 $309,600,000 $-52,200,000
2022 $1,930,900,000 $1,460,900,000 $1,433,800,000 $-6,200,000 $-136,800,000 $-38,900,000 $-238,900,000
2021 $2,628,600,000 $1,219,500,000 $1,149,600,000 $440,800,000 $174,600,000 $-167,600,000 $327,700,000
2020 $2,297,700,000 $1,559,500,000 $1,443,000,000 $101,400,000 $126,300,000 $15,900,000 $13,600,000
2019 $2,134,500,000 $1,525,400,000 $1,442,200,000 $64,700,000 $148,600,000 $-11,100,000 $-14,100,000
2018 $2,057,500,000 $1,538,600,000 $1,459,000,000 $76,000,000 $110,600,000 $16,800,000 $-55,500,000
2017 $2,040,400,000 $1,425,800,000 $1,389,700,000 $104,300,000 $47,600,000 $-6,200,000 $24,700,000