Recent Annual Filings for SXT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,023,794,000 $1,557,228,000 $1,394,430,000 $69,944,000 $157,151,000 $-81,546,000 $16,396,000
2023 $2,014,507,000 $1,456,450,000 $1,326,599,000 $121,965,000 $169,697,000 $-81,999,000 $77,000
2022 $1,981,614,000 $1,437,039,000 $1,254,835,000 $114,827,000 $12,070,000 $86,179,000 $-199,000
2021 $1,745,493,000 $1,380,264,000 $1,222,780,000 $103,208,000 $145,218,000 $-107,761,000 $970,000
2020 $1,740,860,000 $1,332,001,000 $1,194,156,000 $113,389,000 $218,780,000 $-184,153,000 $3,617,000
2019 $1,740,151,000 $1,322,934,000 $1,221,931,000 $84,594,000 $177,182,000 $-150,583,000 $-10,748,000
2018 $1,824,940,000 $1,386,815,000 $1,205,290,000 $142,528,000 $83,520,000 $-98,724,000 $2,557,000
2017 $1,724,340,000 $1,396,499,000 $1,248,076,000 $153,731,000 $180,506,000 $-153,414,000 $3,479,000