Recent Annual Filings for SCCO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $16,725,300,000 $9,895,800,000 $5,703,500,000 $2,435,700,000 $3,573,100,000 $-3,101,200,000 $-918,200,000
2022 $17,277,400,000 $10,047,900,000 $5,612,100,000 $2,648,400,000 $2,802,500,000 $-3,011,000,000 $-932,300,000
2021 $18,297,600,000 $10,934,100,000 $4,869,000,000 $3,410,100,000 $4,292,400,000 $-2,480,200,000 $818,400,000
2020 $16,946,500,000 $7,984,900,000 $4,864,200,000 $1,579,500,000 $2,783,600,000 $-1,563,300,000 $258,500,000
2019 $16,407,400,000 $7,285,600,000 $4,532,600,000 $1,484,200,000 $1,911,900,000 $-262,200,000 $1,080,500,000
2018 $14,484,800,000 $7,096,700,000 $4,215,500,000 $1,545,300,000 $2,235,100,000 $-1,083,400,000 $-160,200,000
2017 $13,780,100,000 $6,654,500,000 $4,035,600,000 $735,300,000 $1,976,600,000 $-456,100,000 $458,800,000
2016 $13,234,300,000 $5,379,800,000 $3,815,600,000 $775,300,000 $923,100,000 $-210,700,000 $271,500,000