Recent Annual Filings for SEIC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,684,606,000 $2,125,151,000 $1,573,410,000 $571,248,000 $622,343,000 $-494,401,000 $5,195,000
2023 $2,520,003,000 $1,919,793,000 $1,495,269,000 $474,193,000 $447,030,000 $-331,324,000 $-18,361,000
2022 $2,383,553,000 $1,991,037,000 $1,515,284,000 $446,343,000 $566,119,000 $-437,235,000 $21,601,000
2021 $2,354,702,000 $1,918,309,000 $1,364,928,000 $543,548,000 $633,101,000 $-422,319,000 $44,031,000
2020 $2,167,256,000 $1,684,058,000 $1,238,171,000 $453,992,000 $488,682,000 $-482,135,000 $-56,820,000
2019 $2,151,370,000 $1,649,885,000 $1,189,461,000 $510,922,000 $545,122,000 $-386,620,000 $86,508,000
2018 $1,971,668,000 $1,624,167,000 $1,182,179,000 $492,776,000 $588,401,000 $-443,720,000 $10,287,000
2017 $1,853,369,000 $1,526,552,000 $1,129,608,000 $422,436,000 $459,898,000 $-253,633,000 $48,546,000