Recent Annual Filings for STRT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $364,289,000 $537,766,000 $517,563,000 $13,827,000 $12,265,000 $72,000 $4,549,000
2023 $340,930,000 $492,946,000 $500,614,000 $-2,096,000 $10,095,000 $-7,436,000 $11,560,000
2022 $318,680,000
2021 $310,563,000 $485,295,000 $450,287,000 $36,906,000 $35,150,000 $-22,886,000 $3,243,000
2020 $265,545,000 $385,300,000 $393,423,000 $-11,379,000 $25,424,000 $-8,992,000 $4,083,000
2019 $312,736,000 $487,006,000 $507,439,000 $6,613,000 $29,941,000 $-12,176,000 $165,000
2018 $307,175,000 $439,195,000 $421,497,000 $14,011,000 $6,940,000 $16,391,000 $-271,000
2017 $273,714,000 $417,325,000 $400,931,000 $17,452,000 $23,142,000 $9,226,000 $-7,116,000