Recent Annual Filings for SIG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $5,726,600,000 $6,703,800,000 $6,579,600,000 $49,000,000 $590,900,000 $-1,199,500,000 $-774,700,000
2024 $6,813,200,000 $7,171,100,000 $6,531,300,000 $809,300,000 $546,900,000 $-259,700,000 $211,900,000
2023 $6,620,400,000 $7,842,100,000 $7,390,900,000 $463,400,000 $797,900,000 $-490,000,000 $-251,500,000
2022 $6,575,100,000 $7,826,000,000 $6,941,600,000 $709,500,000 $1,257,300,000 $-366,600,000 $245,800,000
2021 $6,178,900,000 $5,226,900,000 $5,316,600,000 $-11,900,000 $1,372,300,000 $-498,600,000 $798,000,000
2020 $6,299,100,000 $6,137,100,000 $6,007,400,000 $114,500,000 $555,700,000 $-237,000,000 $179,100,000
2019 $4,420,100,000 $6,247,100,000 $7,049,700,000 $-699,600,000 $697,700,000 $-602,700,000 $-24,000,000
2018 $5,839,600,000 $6,253,000,000 $5,725,800,000 $566,400,000 $1,940,500,000 $-1,253,600,000 $117,500,000