Recent Annual Filings for SRE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $96,155,000,000 $13,185,000,000 $10,472,000,000 $3,494,000,000 $4,907,000,000 $5,424,000,000 $1,200,000,000
2023 $87,181,000,000 $16,720,000,000 $13,460,000,000 $3,620,000,000 $6,218,000,000 $2,419,000,000 $-73,000,000
2022 $78,574,000,000 $14,439,000,000 $12,430,000,000 $1,142,000,000 $3,779,000,000 $-119,000,000
2021 $72,045,000,000 $12,857,000,000 $12,024,000,000 $3,842,000,000 $1,260,000,000 $-404,000,000
2020 $66,623,000,000 $11,370,000,000 $9,587,000,000 $4,105,000,000 $2,591,000,000 $-2,373,000,000 $771,000,000
2019 $65,665,000,000 $10,829,000,000 $9,065,000,000 $2,362,000,000 $3,088,000,000 $1,475,000,000 $-30,000,000
2018 $60,638,000,000 $11,687,000,000 $10,877,000,000 $1,126,000,000 $3,447,000,000 $9,006,000,000 $-118,000,000
2017 $50,454,000,000 $11,207,000,000 $9,622,000,000 $256,000,000 $3,625,000,000 $1,007,000,000 $-61,000,000