Recent Annual Filings for SUP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $740,129,000 $1,267,344,000 $1,320,025,000 $-154,362,000 $18,313,000 $-148,339,000 $-158,309,000
2023 $1,030,571,000 $1,385,283,000 $1,502,081,000 $-25,874,000 $64,431,000 $-34,230,000 $-15,406,000
2022 $1,133,739,000 $1,639,902,000 $1,588,764,000 $73,739,000 $152,570,000 $4,505,000 $100,068,000
2021 $1,054,147,000 $1,384,750,000 $1,373,559,000 $-22,774,000 $44,885,000 $-24,025,000 $-36,664,000
2020 $1,109,325,000 $1,100,760,000 $1,329,440,000 $-242,929,000 $150,121,000 $-37,060,000 $68,882,000
2019 $1,311,867,000 $1,372,487,000 $1,465,524,000 $-91,043,000 $162,842,000 $-76,599,000 $31,580,000
2018 $1,451,616,000 $1,501,827,000 $1,469,575,000 $9,587,000 $156,116,000 $-76,338,000 $2,681,000
2017 $1,551,252,000 $1,108,055,000 $1,107,189,000 $29,601,000 $63,710,000 $701,107,000 $-11,426,000