Recent Annual Filings for SWX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,023,836,000 $5,112,445,000 $4,628,674,000 $196,860,000 $1,355,780,000 $-176,335,000 $257,253,000
2023 $11,869,896,000 $5,433,972,000 $5,015,642,000 $155,972,000 $509,211,000 $-700,795,000 $-40,345,000
2022 $13,196,614,000 $4,960,009,000 $4,984,407,000 $-195,165,000 $407,460,000 $356,480,000 $-75,816,000
2021 $12,765,257,000 $3,680,451,000 $3,310,904,000 $221,444,000 $111,383,000 $3,063,458,000 $139,345,000
2020 $8,735,853,000 $3,298,873,000 $2,875,869,000 $234,714,000 $626,080,000 $209,574,000 $33,813,000
2019 $8,170,048,000 $3,119,917,000 $2,748,106,000 $212,583,000 $500,372,000 $415,280,000 $-35,822,000
2018 $7,357,729,000 $2,880,013,000 $2,522,580,000 $185,966,000 $528,856,000 $512,574,000 $41,739,000
2017 $6,237,066,000 $2,451,633,000 $2,225,092,000 $194,279,000 $369,955,000 $346,185,000 $15,556,000