Recent Annual Filings for SLM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $30,072,110,000 $2,619,046,000 $1,820,410,000 $617,568,000 $-329,395,000 $228,155,000 $574,753,000
2023 $29,169,468,000 $2,592,303,000 $1,814,007,000 $600,157,000 $-144,637,000 $-316,232,000 $-473,329,000
2022 $28,811,029,000 $2,031,580,000 $1,400,855,000 $393,041,000 $4,992,000 $-854,892,000 $227,492,000
2021 $29,221,899,000 $1,776,844,000 $236,580,000 $1,176,816,000 $-49,522,000 $-2,619,516,000 $-64,365,000
2020 $30,770,423,000 $2,021,660,000 $867,654,000 $858,857,000 $-182,669,000 $-1,875,712,000 $-1,111,051,000
2019 $32,686,479,000 $2,331,032,000 $1,587,292,000 $555,286,000 $-15,641,000 $5,361,220,000 $3,038,865,000
2018 $26,638,173,000 $1,935,352,000 $1,376,023,000 $494,489,000 $-102,741,000 $4,403,324,000 $1,045,720,000
2017 $21,779,584,000 $1,437,303,000 $945,838,000 $300,353,000 $-166,912,000 $2,994,974,000 $-384,454,000