Recent Annual Filings for SAH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,895,700,000 $14,224,300,000 $13,968,200,000 $218,200,000 $109,200,000 $84,300,000 $15,200,000
2023 $5,364,600,000 $14,372,400,000 $14,130,500,000 $178,200,000 $-15,700,000 $34,100,000 $-200,300,000
2022 $4,978,300,000 $14,001,100,000 $13,811,100,000 $91,400,000 $406,100,000 $-176,600,000 $-70,200,000
2021 $4,975,100,000 $12,396,400,000 $11,938,200,000 $351,200,000 $306,300,000 $1,120,200,000 $129,100,000
2020 $3,745,993,000 $9,767,042,000 $9,801,806,000 $-52,939,000 $281,079,000 $-39,685,000 $141,210,000
2019 $4,071,035,000 $10,454,343,000 $10,254,698,000 $137,842,000 $170,914,000 $-284,446,000 $23,249,000
2018 $3,796,807,000 $9,951,630,000 $9,876,318,000 $54,576,000 $143,675,000 $-128,842,000 $-498,000
2017 $3,818,518,000 $9,867,208,000 $9,759,084,000 $96,552,000 $162,883,000 $112,470,000 $3,244,000