Recent Annual Filings for SUPN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,368,073,000 $661,817,000 $580,151,000 $74,269,000 $171,951,000 $12,193,000 $-5,723,000
2022 $1,702,508,000 $667,238,000 $621,114,000 $55,962,000 $116,826,000 $-10,477,000 $-110,314,000
2021 $1,689,152,000 $579,775,000 $493,746,000 $45,988,000 $127,127,000 $-130,420,000 $-85,206,000
2020 $1,504,102,000 $520,397,000 $346,699,000 $128,508,000 $138,399,000 $3,559,000 $107,259,000
2019 $1,160,282,000 $392,755,000 $244,184,000 $123,631,000 $143,129,000 $3,928,000 $-10,867,000
2018 $977,811,000 $408,897,000 $264,453,000 $108,582,000 $128,986,000 $376,438,000 $91,944,000
2017 $424,464,000 $302,238,000 $202,697,000 $56,671,000 $114,640,000 $5,681,000 $33,906,000
2016 $309,568,000 $215,003,000 $160,787,000 $91,575,000 $66,812,000 $2,052,000 $32,900,000