Recent Annual Filings for SXI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,005,057,000 $720,635,000 $625,512,000 $48,595,000 $92,656,000 $-69,201,000 $-38,174,000
2023 $1,024,929,000 $741,048,000 $577,099,000 $133,827,000 $90,801,000 $-40,038,000 $92,326,000
2022 $934,439,000 $735,339,000 $654,050,000 $24,221,000 $77,716,000 $-69,426,000 $-22,754,000
2021 $962,223,000 $656,232,000 $603,532,000 $67,992,000 $83,582,000 $-31,732,000 $12,759,000
2020 $930,878,000 $604,535,000 $550,461,000 $9,807,000 $47,242,000 $-18,977,000 $27,648,000
2019 $921,889,000 $791,579,000 $725,966,000 $52,495,000 $73,346,000 $-38,201,000 $-16,457,000
2018 $916,937,000 $868,382,000 $791,130,000 $47,896,000 $64,925,000 $-11,913,000 $21,036,000
2017 $867,676,000 $755,258,000 $693,326,000 $48,582,000 $63,439,000 $84,690,000 $-33,422,000