Recent Annual Filings for SJM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $20,273,700,000 $8,178,700,000 $7,182,300,000 $748,600,000 $1,229,400,000 $2,141,600,000 $-593,800,000
2023 $14,991,400,000 $8,529,200,000 $8,538,400,000 $-93,100,000 $1,194,400,000 $-964,600,000 $485,900,000
2022 $16,055,000,000 $7,998,900,000 $7,155,100,000 $671,700,000 $1,136,300,000 $-944,500,000 $-164,400,000
2021 $16,284,200,000 $8,002,700,000 $6,830,800,000 $977,900,000 $1,565,000,000 $-1,943,900,000 $-56,800,000
2020 $16,970,400,000 $7,801,000,000 $6,774,300,000 $582,300,000 $1,254,800,000 $-688,700,000 $289,800,000
2019 $16,711,300,000 $7,838,000,000 $7,136,400,000 $449,300,000 $1,141,200,000 $699,000,000 $-91,300,000
2018 $15,301,200,000 $7,357,100,000 $6,496,100,000 $1,380,300,000 $1,218,000,000 $-922,000,000 $25,800,000
2017 $15,639,700,000 $7,392,300,000 $6,513,900,000 $597,300,000 $1,059,000,000 $-806,100,000 $57,000,000