Recent Annual Filings for SMG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,871,900,000 $3,552,700,000 $3,576,300,000 $-29,400,000 $667,500,000 $-527,900,000 $39,700,000
2023 $3,413,700,000 $3,551,300,000 $4,004,600,000 $-348,300,000 $531,000,000 $-520,100,000 $-54,900,000
2022 $4,296,800,000 $3,924,100,000 $4,482,200,000 $-515,700,000 $-129,000,000 $255,300,000 $-157,300,000
2021 $4,800,000,000 $4,925,000,000 $4,247,900,000 $546,200,000 $271,500,000 $494,000,000 $227,500,000
2020 $3,380,500,000 $4,131,600,000 $3,621,000,000 $383,400,000 $558,000,000 $-607,100,000 $-2,200,000
2019 $3,028,700,000 $3,156,000,000 $2,574,400,000 $426,100,000 $226,800,000 $-496,500,000 $-15,100,000
2018 $3,054,500,000 $2,663,400,000 $2,547,700,000 $86,900,000 $342,500,000 $151,200,000 $-86,600,000
2017 $2,747,000,000 $2,642,100,000 $2,327,200,000 $266,900,000 $354,000,000 $-307,600,000 $70,400,000