Recent Annual Filings for SF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $39,895,540,000 $5,951,686,000 $5,023,242,000 $730,067,000 $490,437,000 $980,104,000 $-839,621,000
2023 $37,727,460,000 $5,159,280,000 $4,452,588,000 $566,170,000 $499,328,000 $-254,579,000 $1,289,393,000
2022 $37,196,124,000 $4,592,826,000 $3,707,710,000 $539,477,000 $1,157,415,000 $3,191,414,000 $24,292,000
2021 $34,049,715,000 $4,783,086,000 $3,716,005,000 $801,937,000 $872,094,000 $5,794,395,000 $-299,013,000
2020 $26,604,254,000 $3,817,839,000 $3,166,679,000 $542,816,000 $1,661,816,000 $1,198,873,000 $1,171,374,000
2019 $24,610,225,000 $3,514,961,000 $2,915,823,000 $510,804,000 $626,861,000 $-1,076,870,000 $-800,336,000
2018 $24,519,598,000 $3,194,957,000 $2,660,595,000 $351,231,000 $529,526,000 $1,747,695,000 $1,287,980,000
2017 $21,383,953,000 $2,996,462,000 $2,726,926,000 $195,177,000 $662,349,000 $1,760,490,000 $-216,649,000