Recent Annual Filings for SXC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,660,400,000 $2,063,200,000 $1,938,100,000 $63,700,000 $249,000,000 $-89,700,000 $50,100,000
2022 $1,654,600,000 $1,972,500,000 $1,818,800,000 $108,600,000 $208,900,000 $-112,500,000 $26,200,000
2021 $1,615,400,000 $1,456,000,000 $1,314,500,000 $49,200,000 $233,100,000 $-118,400,000 $15,400,000
2020 $1,613,400,000 $1,333,000,000 $1,263,300,000 $6,100,000 $157,800,000 $-131,200,000 $-48,700,000
2019 $1,753,800,000 $1,600,300,000 $1,744,600,000 $-149,700,000 $181,900,000 $-120,700,000 $-48,600,000
2018 $2,045,300,000 $1,450,900,000 $1,332,200,000 $55,100,000 $185,800,000 $-64,500,000 $25,500,000
2017 $2,060,100,000 $1,331,500,000 $1,228,600,000 $102,400,000 $148,500,000 $-107,700,000 $-13,800,000
2016 $2,120,900,000 $1,223,300,000 $1,126,700,000 $60,300,000 $219,100,000 $-172,300,000 $10,600,000