Recent Annual Filings for SNA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,896,800,000 $5,108,400,000 $3,735,300,000 $943,400,000 $1,217,500,000 $-649,800,000 $359,000,000
2023 $7,544,900,000 $5,108,300,000 $3,780,300,000 $1,113,400,000 $1,154,200,000 $-572,900,000 $244,300,000
2022 $6,972,800,000 $4,842,500,000 $3,639,900,000 $749,500,000 $675,200,000 $-485,000,000 $-22,800,000
2020 $6,557,300,000 $3,942,200,000 $3,107,000,000 $788,500,000 $1,008,600,000 $-84,300,000 $738,900,000
2019 $5,693,500,000 $4,067,700,000 $3,145,600,000 $711,400,000 $674,600,000 $-409,400,000 $43,600,000
2018 $5,373,100,000 $4,070,400,000 $3,160,500,000 $563,000,000 $764,500,000 $-502,200,000 $48,900,000
2017 $5,249,100,000 $4,000,300,000 $3,178,400,000 $741,700,000 $608,500,000 $-256,100,000 $14,400,000
2016 $4,723,200,000 $3,711,800,000 $2,910,400,000 $425,300,000 $576,100,000 $-116,000,000 $-15,200,000