Recent Annual Filings for SBH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,792,899,000 $3,717,031,000 $3,510,706,000 $163,009,000 $246,528,000 $-153,734,000 $-16,116,000
2023 $2,725,250,000 $3,728,131,000 $3,476,081,000 $213,683,000 $249,311,000 $-100,824,000 $48,711,000
2022 $2,576,867,000 $3,815,565,000 $3,571,468,000 $126,347,000 $156,500,000 $-373,679,000 $-319,598,000
2021 $2,847,132,000 $3,874,997,000 $3,550,063,000 $249,920,000 $381,860,000 $-419,968,000 $-114,127,000
2020 $2,895,147,000 $3,514,330,000 $3,354,363,000 $125,829,000 $426,889,000 $139,761,000 $442,656,000
2019 $2,098,446,000 $3,876,411,000 $3,514,247,000 $244,327,000 $320,415,000 $-229,308,000 $-5,800,000
2018 $2,097,414,000 $3,932,565,000 $3,604,138,000 $249,892,000 $372,661,000 $-263,282,000 $13,536,000
2017 $2,123,093,000 $3,938,317,000 $3,592,619,000 $233,291,000 $344,378,000 $-278,395,000 $-22,863,000