Recent Annual Filings for SBFG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,379,517,000 $39,922,000 $26,066,000 $11,067,000 $9,451,000 $22,460,000 $2,963,000
2023 $1,343,249,000 $39,273,000 $24,556,000 $14,384,000 $13,989,000 $-1,451,000 $-4,852,000
2022 $1,335,633,000 $44,569,000 $29,253,000 $-17,754,000 $25,569,000 $18,408,000 $-121,694,000
2021 $1,330,854,000 $41,904,000 $19,181,000 $14,222,000 $17,257,000 $63,552,000 $8,821,000
2020 $1,257,839,000 $42,635,000 $24,196,000 $16,495,000 $23,907,000 $146,935,000 $113,626,000
2019 $1,038,577,000 $44,400,000 $29,768,000 $13,184,000 $18,829,000 $27,486,000 $-21,299,000
2018 $986,828,000 $39,479,000 $25,035,000 $11,227,000 $13,850,000 $95,484,000 $21,747,000
2017 $876,627,000 $32,480,000 $18,855,000 $10,896,000 $9,803,000 $49,330,000 $9,604,000