Recent Annual Filings for SSTK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,309,156,000 $935,262,000 $866,554,000 $31,065,000 $32,646,000 $150,096,000 $10,761,000
2023 $1,036,015,000 $874,587,000 $806,187,000 $113,734,000 $140,552,000 $-102,704,000 $-14,664,000
2022 $881,184,000 $827,826,000 $734,202,000 $71,452,000 $158,451,000 $-79,487,000 $-198,863,000
2021 $851,710,000 $773,415,000 $665,309,000 $88,776,000 $216,372,000 $-77,722,000 $-114,557,000
2020 $729,644,000 $666,686,000 $581,420,000 $70,305,000 $165,072,000 $-4,587,000 $122,700,000
2019 $630,512,000 $650,523,000 $630,368,000 $20,359,000 $102,646,000 $-1,696,000 $72,409,000
2018 $531,488,000 $623,250,000 $590,798,000 $51,773,000 $102,202,000 $-109,739,000 $-22,576,000
2017 $577,776,000 $557,111,000 $530,762,000 $30,231,000 $108,037,000 $-33,888,000 $29,238,000