Recent Annual Filings for SNEX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $27,466,300,000 $99,887,800,000 $99,533,700,000 $287,400,000 $506,900,000 $188,000,000 $630,900,000
2023 $21,938,700,000 $60,856,100,000 $60,533,100,000 $277,300,000 $-23,700,000 $-169,300,000 $-243,400,000
2022 $19,859,600,000 $66,036,000,000 $65,758,800,000 $141,600,000 $-229,500,000 $65,800,000 $-224,400,000
2021 $18,839,600,000 $42,534,200,000 $42,380,100,000 $131,300,000 $2,122,700,000 $-35,600,000 $2,041,100,000
2020 $13,474,900,000 $54,139,600,000 $53,932,900,000 $165,000,000 $1,950,600,000 $312,300,000 $2,017,100,000