Recent Annual Filings for SFST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $4,055,789,000 $4,036,000 $-13,391,000 $15,494,000 $17,653,000 $346,218,000 $-14,704,000
2022 $3,691,981,000 $4,198,000 $-33,915,000 $16,445,000 $50,305,000 $745,943,000 $3,665,000
2021 $2,925,548,000 $11,376,000 $-49,427,000 $44,948,000 $78,069,000 $399,080,000 $66,522,000
2020 $2,482,587,000 $19,785,000 $-4,034,000 $19,649,000 $20,619,000 $183,022,000 $-27,129,000
2019 $2,267,195,000 $9,923,000 $-25,556,000 $28,477,000 $18,282,000 $312,244,000 $54,943,000
2018 $1,900,614,000 $5,544,000 $-23,146,000 $21,828,000 $31,703,000 $250,713,000 $-19,292,000
2017 $1,624,625,000 $61,209,000 $37,548,000 $13,093,000 $17,193,000 $267,435,000 $45,613,000
2016 $1,340,908,000 $51,191,000 $30,822,000 $12,536,000 $17,089,000 $106,516,000 $-16,314,000