Recent Annual Filings for SNDR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,933,700,000 $5,290,500,000 $5,125,300,000 $116,600,000 $686,100,000 $120,600,000 $15,200,000
2023 $4,557,200,000 $5,498,900,000 $5,202,500,000 $240,100,000 $680,000,000 $-55,700,000 $-283,300,000
2022 $4,318,200,000 $6,604,400,000 $6,004,000,000 $452,800,000 $856,400,000 $-116,700,000 $140,900,000
2021 $3,937,300,000 $5,608,700,000 $5,075,000,000 $404,600,000 $566,100,000 $-90,400,000 $-150,700,000
2020 $3,516,200,000 $4,552,800,000 $4,266,100,000 $212,400,000 $618,200,000 $-455,600,000 $-156,100,000
2019 $3,660,100,000 $4,747,000,000 $4,539,200,000 $148,100,000 $636,300,000 $-113,200,000 $172,900,000
2018 $3,624,500,000 $4,977,000,000 $4,601,200,000 $267,900,000 $566,500,000 $-88,700,000 $140,200,000
2017 $3,330,500,000 $4,383,600,000 $4,103,300,000 $389,000,000 $461,300,000 $36,900,000 $107,700,000