Recent Annual Filings for SCI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $17,379,438,000 $4,186,379,000 $3,095,722,000 $486,632,000 $944,912,000 $-319,641,000 $-3,362,000
2023 $16,355,400,000 $4,099,778,000 $3,391,172,000 $546,014,000 $869,043,000 $-381,142,000 $20,237,000
2022 $15,066,037,000 $4,108,661,000 $3,353,033,000 $542,353,000 $825,725,000 $-447,997,000 $-74,031,000
2021 $15,691,178,000 $4,143,143,000 $3,097,643,000 $804,098,000 $920,608,000 $-465,620,000 $39,945,000
2020 $14,515,425,000 $3,511,509,000 $2,849,449,000 $525,644,000 $804,351,000 $-492,778,000 $-4,010,000
2019 $13,677,430,000 $3,230,785,000 $2,766,353,000 $386,241,000 $628,755,000 $-319,093,000 $35,036,000
2018 $12,693,243,000 $3,190,174,000 $2,748,442,000 $419,080,000 $615,830,000 $-329,181,000 $-133,017,000
2017 $12,864,503,000 $3,095,031,000 $2,372,842,000 $572,309,000 $502,340,000 $-136,427,000 $135,053,000