Recent Annual Filings for STRA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,049,735,000 $1,219,930,000 $1,064,302,000 $58,366,000 $169,331,000 $-136,772,000 $-35,269,000
2023 $2,125,213,000 $1,132,924,000 $1,037,603,000 $70,612,000 $117,119,000 $-113,607,000 $-45,529,000
2022 $2,161,747,000 $1,065,480,000 $994,720,000 $2,399,000 $126,052,000 $-142,360,000 $-51,758,000
2021 $2,305,880,000 $1,131,686,000 $1,057,774,000 $15,410,000 $180,527,000 $-67,888,000 $77,192,000
2020 $2,295,807,000 $1,027,653,000 $918,269,000 $134,915,000 $142,905,000 $279,187,000 $-218,477,000
2019 $1,789,408,000 $997,137,000 $886,605,000 $81,339,000 $202,146,000 $-55,820,000 $108,260,000
2018 $1,661,029,000 $634,185,000 $656,925,000 $-15,639,000 $46,867,000 $-21,215,000 $155,789,000
2017 $321,278,000 $454,851,000 $402,642,000 $20,612,000 $56,155,000 $-11,416,000 $26,688,000