Recent Annual Filings for STRL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,016,774,000 $2,115,756,000 $1,851,134,000 $270,918,000 $497,104,000 $-118,623,000 $192,632,000
2023 $1,777,184,000 $1,972,229,000 $1,766,434,000 $142,845,000 $478,584,000 $-104,534,000 $286,298,000
2022 $1,441,620,000 $1,769,436,000 $1,609,566,000 $109,924,000 $219,116,000 $-32,789,000 $96,572,000
2021 $1,230,996,000 $1,581,766,000 $1,474,479,000 $68,664,000 $151,594,000 $87,906,000 $16,051,000
2020 $952,694,000 $1,427,412,000 $1,332,520,000 $37,849,000 $119,283,000 $-68,340,000 $20,452,000
2019 $961,940,000 $1,126,278,000 $1,088,527,000 $40,486,000 $41,093,000 $320,931,000 $-48,362,000
2018 $482,573,000 $1,037,667,000 $995,056,000 $29,540,000 $39,474,000 $-17,950,000 $10,142,000
2017 $463,298,000 $957,958,000 $942,023,000 $15,817,000 $23,009,000 $74,056,000 $41,168,000