Recent Annual Filings for SBCF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $15,176,308,000 $725,559,000 $569,719,000 $122,997,000 $179,902,000 $456,407,000 $29,425,000
2023 $14,580,249,000 $688,975,000 $554,723,000 $132,188,000 $150,613,000 $-432,817,000 $245,242,000
2022 $12,145,762,000 $380,494,000 $242,358,000 $-74,532,000 $195,859,000 $-366,773,000 $-535,789,000
2021 $9,681,433,000 $284,244,000 $125,506,000 $97,039,000 $154,572,000 $591,580,000 $333,641,000
2020 $8,342,392,000 $287,035,000 $186,453,000 $93,669,000 $60,652,000 $561,407,000 $279,557,000
2019 $7,108,511,000 $289,823,000 $161,211,000 $116,264,000 $117,745,000 $212,176,000 $8,580,000
2018 $6,747,659,000 $241,398,000 $153,864,000 $58,316,000 $129,608,000 $51,439,000 $6,447,000
2017 $5,810,129,000 $191,596,000 $112,395,000 $46,868,000 $48,909,000 $196,527,000 $-140,000