Recent Annual Filings for SFM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,640,699,000 $7,719,290,000 $7,212,592,000 $380,601,000 $645,214,000 $-351,496,000 $63,343,000
2023 $3,327,428,000 $6,837,384,000 $6,493,644,000 $258,856,000 $465,068,000 $-318,048,000 $-91,322,000
2022 $2,923,115,000 $6,099,869,000 $5,777,477,000 $248,873,000 $364,799,000 $-186,858,000 $75,563,000
2020 $2,806,404,000 $6,468,759,000 $6,091,881,000 $283,658,000 $494,035,000 $-287,411,000 $84,656,000
2019 $2,722,983,000 $5,634,835,000 $5,438,667,000 $143,813,000 $355,210,000 $-87,441,000 $84,537,000
2018 $1,675,614,000 $5,207,336,000 $5,011,540,000 $160,454,000 $294,379,000 $-134,528,000 $-17,231,000
2017 $1,581,603,000 $4,664,612,000 $4,459,094,000 $157,656,000 $309,567,000 $-103,959,000 $7,014,000
2015 $1,426,364,000 $3,593,031,000 $3,387,038,000 $128,991,000 $239,898,000 $-106,030,000 $5,556,000