Recent Annual Filings for SANM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $4,873,968,000 $8,935,048,000 $8,522,241,000 $342,067,000 $235,168,000 $94,505,000 $137,713,000
2022 $4,859,500,000 $7,890,475,000 $7,569,847,000 $271,756,000 $330,854,000 $-314,299,000 $-120,169,000
2021 $4,206,719,000 $6,756,643,000 $6,449,638,000 $274,802,000 $338,342,000 $-77,318,000 $169,500,000
2020 $3,772,656,000 $6,960,370,000 $6,759,612,000 $132,340,000 $300,555,000 $-210,280,000 $25,785,000
2019 $3,905,513,000 $8,233,859,000 $7,988,240,000 $109,830,000 $382,965,000 $-220,218,000 $35,213,000
2018 $4,085,133,000 $7,110,130,000 $7,012,591,000 $-98,383,000 $156,424,000 $-28,335,000 $12,867,000
2017 $3,847,363,000 $6,868,619,000 $6,655,139,000 $150,246,000 $250,961,000 $-135,493,000 $8,373,000
2016 $3,625,222,000 $6,481,181,000 $6,276,564,000 $186,648,000 $390,116,000 $-231,421,000 $-13,965,000