Recent Annual Filings for SFBC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $993,633,000 $57,374,000 $51,728,000 $4,584,000 $2,932,000 $-5,036,000 $-6,049,000
2023 $995,221,000 $50,609,000 $41,609,000 $7,568,000 $6,886,000 $11,292,000 $-8,146,000
2022 $976,351,000 $39,795,000 $28,919,000 $7,548,000 $10,054,000 $49,767,000 $-125,754,000
2021 $919,691,000 $33,874,000 $22,446,000 $9,055,000 $19,073,000 $48,629,000 $-10,238,000
2020 $861,402,000 $34,936,000 $23,608,000 $9,002,000 $-484,000 $134,046,000 $138,058,000
2019 $719,853,000 $34,581,000 $26,251,000 $6,740,000 $11,063,000 $-11,317,000 $-6,040,000
2018 $716,735,000 $32,947,000 $24,202,000 $7,044,000 $10,325,000 $62,304,000 $1,130,000
2017 $645,244,000 $27,449,000 $19,256,000 $5,153,000 $6,827,000 $35,609,000 $6,098,000