Recent Annual Filings for SLGN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,584,668,000 $5,854,694,000 $5,507,024,000 $174,382,000 $721,873,000 $662,522,000 $179,931,000
2023 $7,611,236,000 $5,988,205,000 $5,566,084,000 $419,914,000 $482,596,000 $-211,391,000 $57,301,000
2022 $7,345,757,000 $6,411,499,000 $5,937,360,000 $255,366,000 $748,412,000 $-569,593,000 $-45,817,000
2021 $7,770,846,000 $5,677,105,000 $5,210,792,000 $360,206,000 $556,841,000 $648,604,000 $221,958,000
2020 $6,511,586,000 $4,921,943,000 $4,514,865,000 $307,511,000 $602,507,000 $759,860,000 $205,657,000
2019 $4,931,059,000 $4,489,927,000 $4,237,791,000 $202,880,000 $507,355,000 $-145,525,000 $131,005,000
2018 $4,579,294,000 $4,448,875,000 $4,155,574,000 $144,159,000 $506,520,000 $-293,610,000 $19,286,000
2017 $4,645,449,000 $4,089,854,000 $3,850,173,000 $326,627,000 $389,765,000 $836,755,000 $28,843,000