Recent Annual Filings for SNAP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,936,348,000 $5,361,398,000 $6,148,692,000 $-702,293,000 $413,480,000 $-428,624,000 $-732,228,000
2023 $7,967,758,000 $4,606,115,000 $6,004,494,000 $-1,301,380,000 $246,521,000 $-458,789,000 $358,686,000
2022 $8,029,538,000 $4,601,847,000 $5,997,153,000 $-1,449,148,000 $184,614,000 $306,714,000 $-570,947,000
2021 $7,536,306,000 $4,117,048,000 $4,819,117,000 $-503,797,000 $292,880,000 $1,065,073,000 $1,448,180,000
2020 $5,024,238,000 $2,506,626,000 $3,368,698,000 $-924,049,000 $-167,644,000 $922,791,000 $25,283,000
2019 $4,011,924,000 $1,715,534,000 $2,818,862,000 $-1,036,234,000 $-304,958,000 $1,165,852,000 $132,286,000
2018 $2,714,106,000 $1,180,446,000 $2,448,896,000 $-1,266,921,000 $-689,924,000 $47,437,000 $51,967,000
2017 $3,421,566,000 $824,949,000 $4,310,525,000 $-3,428,852,000 $-734,667,000 $2,265,348,000 $183,942,000