Recent Annual Filings for SFNC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $26,876,049,000 $1,312,065,000 $196,158,000 $425,924,000 $-722,146,000 $73,285,000
2023 $27,345,674,000 $1,210,161,000 $288,242,000 $540,979,000 $-425,416,000 $-68,030,000
2022 $27,461,061,000 $861,735,000 $-250,603,000 $322,198,000 $-344,496,000 $-968,531,000
2021 $24,724,759,000 $671,061,000 $200,885,000 $277,780,000 $438,457,000 $-1,821,499,000
2020 $22,359,752,000 $759,718,000 $293,739,000 $202,543,000 $1,083,117,000 $2,475,529,000
2019 $21,259,143,000 $786,645,000 $286,432,000 $266,347,000 $-697,390,000 $163,165,000
2018 $16,543,337,000 $680,687,000 $205,603,000 $260,679,000 $1,403,558,000 $235,416,000
2017 $15,055,806,000 $395,004,000 $93,904,000 $114,581,000 $536,291,000 $312,383,000