Recent Annual Filings for STGW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,908,221,000 $2,841,216,000 $2,708,148,000 $-1,231,000 $142,859,000 $36,938,000 $11,602,000
2023 $3,767,047,000 $2,527,177,000 $2,436,650,000 $49,976,000 $81,007,000 $-339,864,000 $-100,852,000
2022 $3,993,332,000 $2,687,792,000 $2,528,564,000 $32,179,000 $347,586,000 $-186,736,000 $36,580,000
2021 $4,055,580,000 $1,469,363,000 $1,424,637,000 $30,642,000 $200,856,000 $-273,414,000 $91,552,000