Recent Annual Filings for SBGI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,885,000,000 $3,548,000,000 $3,153,000,000 $320,000,000 $98,000,000 $-140,000,000 $35,000,000
2023 $6,085,000,000 $3,134,000,000 $3,771,000,000 $-279,000,000 $235,000,000 $-509,000,000 $-222,000,000
2022 $6,704,000,000 $3,928,000,000 $314,000,000 $2,707,000,000 $799,000,000 $-353,000,000 $65,000,000
2021 $12,541,000,000 $6,134,000,000 $6,633,000,000 $-318,000,000 $327,000,000 $-524,000,000 $-443,000,000
2020 $13,382,000,000 $5,943,000,000 $9,092,000,000 $-2,437,000,000 $1,548,000,000 $-1,460,000,000 $-71,000,000
2019 $17,370,000,000 $4,240,000,000 $4,231,000,000 $104,000,000 $916,000,000 $8,887,000,000 $273,000,000
2018 $6,572,092,000 $3,055,081,000 $2,744,858,000 $346,637,000 $647,418,000 $-464,817,000 $64,390,000
2017 $6,784,470,000 $2,734,118,000 $2,215,374,000 $593,488,000 $431,104,000 $188,263,000 $421,342,000