Recent Annual Filings for SLVM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,604,000,000 $3,773,000,000 $3,368,000,000 $68,000,000 $469,000,000 $-310,000,000 $-75,000,000
2023 $2,872,000,000 $3,721,000,000 $3,352,000,000 $335,000,000 $504,000,000 $-219,000,000 $-80,000,000
2022 $2,710,000,000 $3,628,000,000 $3,161,000,000 $206,000,000 $438,000,000 $-470,000,000 $180,000,000
2021 $2,597,000,000 $3,502,000,000 $3,042,000,000 $153,000,000 $549,000,000 $-589,000,000 $85,000,000