Recent Annual Filings for SCL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,304,648,000 $2,180,274,000 $2,119,835,000 $-15,866,000 $162,053,000 $-64,520,000 $-19,412,000
2023 $2,363,354,000 $2,325,768,000 $2,277,377,000 $77,114,000 $174,876,000 $33,284,000 $-50,506,000
2022 $2,433,172,000 $2,773,270,000 $2,584,567,000 $132,877,000 $160,763,000 $166,209,000 $18,882,000
2021 $2,065,612,000 $2,345,966,000 $2,173,429,000 $121,571,000 $72,135,000 $117,333,000 $-190,752,000
2020 $1,752,336,000 $1,869,750,000 $1,698,683,000 $127,018,000 $235,216,000 $-64,934,000 $34,555,000
2019 $1,579,367,000 $1,858,745,000 $1,732,846,000 $113,720,000 $218,428,000 $-90,494,000 $15,189,000
2018 $1,484,666,000 $1,993,857,000 $1,853,934,000 $70,784,000 $171,131,000 $-51,648,000 $1,300,000
2017 $1,470,861,000 $1,925,007,000 $1,785,770,000 $119,528,000 $198,863,000 $-50,497,000 $73,151,000