Recent Annual Filings for STRS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $532,606,000 $54,183,000 $56,338,000 $-1,908,000 $-5,840,000 $16,102,000 $-11,278,000
2023 $517,766,000 $17,270,000 $34,216,000 $-16,493,000 $-51,254,000 $84,931,000 $-13,277,000
2022 $445,140,000 $37,498,000 $45,261,000 $89,743,000 $-55,260,000 $-19,173,000 $-24,430,000
2021 $541,226,000 $28,236,000 $-55,424,000 $63,249,000 $-53,610,000 $-99,374,000 $35,956,000
2020 $544,016,000 $61,015,000 $67,056,000 $-24,475,000 $-4,058,000 $7,472,000 $-4,408,000
2019 $561,368,000 $30,003,000 $28,787,000 $-2,467,000 $-2,360,000 $65,915,000 $-327,000
2018 $496,493,000 $87,600,000 $85,427,000 $-3,986,000 $-31,889,000 $95,436,000 $-471,000
2017 $405,993,000 $80,340,000 $57,103,000 $3,884,000 $10,253,000 $-79,820,000 $1,014,000