Recent Annual Filings for STEL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $10,647,139,000 $590,817,000 $428,933,000 $155,671,000 $168,217,000 $-435,939,000 $27,532,000
2022 $10,900,437,000 $322,994,000 $260,470,000 $-110,071,000 $109,066,000 $-568,630,000 $-385,804,000
2012 $3,023,204,000 $115,056,000 $84,814,000 $22,736,000 $48,085,000 $77,511,000 $-10,021,000
2011 $2,917,928,000 $120,861,000 $100,372,000 $15,885,000 $60,318,000 $-50,090,000 $-39,916,000