Recent Annual Filings for SRI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $679,900,000 $975,818,000 $977,740,000 $5,171,000 $4,946,000 $17,485,000 $-13,957,000
2022 $652,105,000 $899,923,000 $910,619,000 $-20,174,000 $6,806,000 $-7,297,000 $-30,749,000
2021 $665,399,000 $770,462,000 $758,026,000 $-3,983,000 $-36,248,000 $22,876,000 $11,628,000
2020 $621,408,000 $648,006,000 $658,730,000 $-6,113,000 $28,641,000 $6,513,000 $4,516,000
2019 $602,209,000 $834,289,000 $765,896,000 $54,571,000 $24,505,000 $-28,258,000 $-11,689,000
2018 $559,519,000 $866,199,000 $801,141,000 $37,656,000 $80,772,000 $-33,870,000 $15,089,000
2017 $559,037,000 $824,444,000 $771,862,000 $60,527,000 $78,908,000 $40,785,000 $15,614,000
2016 $394,529,000 $695,977,000 $656,792,000 $79,370,000 $65,277,000 $-43,371,000 $-3,972,000