Recent Annual Filings for SM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,576,647,000 $2,690,259,000 $1,614,564,000 $771,739,000 $1,782,514,000 $1,008,493,000 $-616,164,000
2023 $6,379,985,000 $2,373,886,000 $1,386,980,000 $819,295,000 $1,574,394,000 $-304,543,000 $171,166,000
2022 $5,716,039,000 $3,358,647,000 $1,779,166,000 $1,120,779,000 $1,686,406,000 $-693,861,000 $112,282,000
2021 $5,233,977,000 $2,622,894,000 $2,413,771,000 $36,978,000 $1,159,772,000 $-159,831,000 $332,706,000
2020 $4,976,431,000 $1,126,673,000 $2,195,623,000 $-766,893,000 $790,944,000 $-235,378,000
2019 $6,292,232,000 $1,590,105,000 $1,660,073,000 $-185,940,000 $823,567,000 $111,769,000 $-77,955,000
2018 $6,352,862,000 $2,067,072,000 $1,230,735,000 $512,785,000 $720,629,000 $-368,673,000 $-235,978,000
2017 $6,176,776,000 $1,129,376,000 $1,297,865,000 $-160,076,000 $515,390,000 $-12,289,000 $301,571,000