Recent Annual Filings for SUI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $16,549,400,000 $3,221,100,000 $3,309,300,000 $86,900,000 $861,000,000 $-571,600,000 $21,200,000
2023 $16,940,700,000 $3,224,600,000 $3,334,400,000 $-187,200,000 $790,500,000 $80,300,000 $-47,700,000
2022 $17,084,200,000 $2,969,700,000 $2,661,300,000 $249,900,000 $734,900,000 $2,348,600,000 $12,200,000
2021 $13,494,084,000 $2,272,605,000 $1,987,754,000 $413,606,000 $753,572,000 $1,570,391,000 $-14,443,000
2020 $11,206,586,000 $1,398,347,000 $1,264,523,000 $151,656,000 $548,948,000 $2,000,844,000 $63,464,000
2019 $7,802,060,000 $1,264,037,000 $1,124,856,000 $180,707,000 $476,734,000 $505,880,000 $-27,432,000
2018 $6,710,026,000 $1,126,825,000 $997,133,000 $114,280,000 $363,114,000 $409,905,000 $38,753,000
2017 $6,111,957,000 $982,570,000 $909,869,000 $86,346,000 $261,750,000 $141,557,000 $1,963,000