Recent Annual Filings for SCSC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,779,032,000 $3,259,809,000 $3,159,968,000 $50,828,000 $371,647,000 $-227,767,000 $152,925,000
2023 $2,068,169,000 $3,787,721,000 $3,665,871,000 $104,826,000 $-35,769,000 $39,531,000 $-4,500,000
2022 $1,937,428,000 $3,529,935,000 $3,411,312,000 $82,293,000 $-124,354,000 $108,106,000 $-19,972,000
2021 $1,671,684,000 $3,150,806,000 $3,093,271,000 $45,457,000 $140,940,000 $-148,318,000 $24,557,000
2020 $1,692,094,000 $3,047,734,000 $3,119,510,000 $-235,361,000 $226,271,000 $-156,607,000 $14,279,000
2019 $2,067,261,000 $3,873,111,000 $3,795,203,000 $51,686,000 $-27,127,000 $64,233,000 $-1,712,000
2018 $1,945,295,000 $3,846,260,000 $3,785,335,000 $22,180,000 $27,871,000 $97,508,000 $-30,564,000
2017 $1,718,303,000 $3,568,186,000 $3,466,691,000 $68,729,000 $94,876,000 $-3,506,000 $-5,306,000