Recent Annual Filings for SSP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,198,575,000 $2,509,772,000 $2,097,281,000 $146,422,000 $365,680,000 $-350,611,000 $-11,467,000
2023 $5,410,120,000 $2,292,912,000 $3,046,154,000 $-945,823,000 $111,604,000 $-33,706,000 $17,292,000
2022 $6,431,005,000 $2,453,215,000 $2,024,871,000 $192,340,000 $311,423,000 $-327,483,000 $-82,453,000
2021 $6,658,314,000 $2,283,532,000 $1,882,787,000 $148,922,000 $237,000,000 $693,475,000 $-1,525,541,000
2020 $4,859,386,000 $1,857,478,000 $1,648,458,000 $268,203,000 $277,394,000 $998,179,000 $1,593,053,000
2019 $3,561,353,000 $1,423,836,000 $1,444,711,000 $-21,970,000 $-27,452,000 $1,217,826,000 $-74,146,000
2018 $2,130,061,000 $1,208,425,000 $1,134,250,000 $27,274,000 $140,911,000 $-54,997,000 $-41,585,000
2017 $2,129,548,000 $864,834,000 $896,910,000 $-4,822,000 $40,852,000 $272,562,000 $14,347,000