Recent Annual Filings for SFBS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $16,129,668,000 $813,246,000 $568,658,000 $201,511,000 $197,296,000 $1,318,171,000 $1,315,035,000
2022 $14,595,753,000 $559,315,000 $250,487,000 $195,195,000 $272,627,000 $-1,036,453,000 $-3,406,043,000
2021 $15,448,806,000 $416,305,000 $162,956,000 $201,572,000 $266,331,000 $3,305,448,000 $-132,000
2020 $11,932,654,000 $389,022,000 $174,814,000 $184,038,000 $191,290,000 $2,800,592,000 $1,580,811,000
2019 $8,947,653,000 $390,803,000 $203,942,000 $159,733,000 $164,275,000 $772,779,000 $-51,295,000
2018 $8,007,382,000 $326,627,000 $157,785,000 $132,397,000 $168,301,000 $790,482,000 $204,309,000
2017 $7,082,384,000 $262,756,000 $125,406,000 $93,518,000 $118,464,000 $617,373,000 $-306,411,000
2016 $6,370,448,000 $212,902,000 $102,084,000 $77,807,000 $98,521,000 $1,194,890,000 $431,762,000