Recent Annual Filings for SBSI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,517,448,000 $414,336,000 $306,959,000 $77,058,000 $101,849,000 $146,658,000 $-134,349,000
2023 $8,284,914,000 $359,741,000 $258,612,000 $110,686,000 $79,864,000 $608,467,000 $361,258,000
2022 $7,558,636,000 $252,981,000 $133,350,000 $-92,141,000 $226,517,000 $405,761,000 $-2,501,000
2021 $7,259,602,000 $215,987,000 $85,160,000 $104,026,000 $156,104,000 $131,249,000 $93,345,000
2020 $7,008,227,000 $231,828,000 $138,339,000 $146,997,000 $90,520,000 $130,926,000 $-2,289,000
2019 $6,748,913,000 $240,787,000 $153,012,000 $129,018,000 $80,606,000 $476,202,000 $-10,022,000
2018 $6,123,494,000 $229,165,000 $144,864,000 $60,208,000 $122,402,000 $-462,279,000 $-77,973,000
2017 $6,498,097,000 $187,474,000 $117,041,000 $62,210,000 $91,730,000 $-235,429,000 $29,038,000