Recent Annual Filings for SRCE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,931,938,000 $484,017,000 $312,960,000 $151,709,000 $193,853,000 $77,910,000 $-4,842,000
2023 $8,727,958,000 $416,907,000 $255,227,000 $166,301,000 $187,936,000 $177,221,000 $6,871,000
2022 $8,339,416,000 $293,816,000 $137,029,000 $-17,297,000 $175,530,000 $206,952,000 $-402,390,000
2021 $8,096,289,000 $254,772,000 $99,887,000 $90,325,000 $166,761,000 $713,938,000 $282,140,000
2020 $7,316,411,000 $263,031,000 $156,690,000 $94,660,000 $154,493,000 $587,847,000 $159,682,000
2019 $6,622,776,000 $282,877,000 $162,723,000 $107,863,000 $164,606,000 $153,597,000 $-15,714,000
2018 $6,293,745,000 $257,316,000 $152,289,000 $75,788,000 $144,374,000 $319,302,000 $21,046,000
2017 $5,887,284,000 $212,385,000 $111,025,000 $63,375,000 $117,261,000 $314,674,000 $-30,271,000