Recent Annual Filings for SCS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $2,330,400,000 $3,166,000,000 $3,031,800,000 $124,100,000 $148,500,000 $-84,000,000 $27,900,000
2024 $2,236,700,000 $3,159,600,000 $3,052,500,000 $86,700,000 $308,700,000 $-85,900,000 $228,700,000
2023 $2,202,800,000 $3,232,600,000 $3,181,000,000 $13,400,000 $89,400,000 $-62,900,000 $-109,800,000
2022 $2,261,000,000 $2,772,700,000 $2,771,100,000 $-6,600,000 $-102,600,000 $-120,000,000 $-288,600,000
2021 $2,354,000,000 $2,596,200,000 $2,570,300,000 $55,400,000 $64,800,000 $-87,800,000 $-51,500,000
2020 $2,565,400,000 $3,723,700,000 $3,478,500,000 $177,700,000 $360,800,000 $-81,900,000 $282,300,000
2019 $2,142,400,000 $3,443,200,000 $3,279,300,000 $89,000,000 $131,200,000 $122,300,000 $-20,800,000
2018 $1,859,200,000 $3,055,500,000 $2,894,000,000 $121,000,000 $227,000,000 $-97,500,000 $86,000,000