Recent Annual Filings for SAIC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $5,246,000,000 $7,479,000,000 $7,051,000,000 $358,000,000 $494,000,000 $-498,000,000 $-39,000,000
2024 $5,314,000,000 $7,444,000,000 $6,824,000,000 $471,000,000 $396,000,000 $-725,000,000 $-15,000,000
2023 $5,543,000,000 $7,704,000,000 $7,329,000,000 $362,000,000 $532,000,000 $-493,000,000 $3,000,000
2022 $5,746,000,000 $7,394,000,000 $7,036,000,000 $331,000,000 $518,000,000 $-301,000,000 $-75,000,000
2021 $5,723,000,000 $7,056,000,000 $6,785,000,000 $194,000,000 $755,000,000 $464,000,000 $-12,000,000
2020 $4,711,000,000 $6,379,000,000 $6,093,000,000 $171,000,000 $458,000,000 $-455,000,000 $-44,000,000
2019 $4,563,000,000 $4,659,000,000 $4,489,000,000 $119,000,000 $184,000,000 $938,000,000 $94,000,000
2018 $2,073,000,000 $4,454,000,000 $4,240,000,000 $184,000,000 $217,000,000 $-261,000,000 $-66,000,000