Recent Annual Filings for SNOW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $9,033,938,000 $3,626,396,000 $4,911,495,000 $-1,283,228,000 $959,764,000 $-226,523,000 $917,701,000
2024 $8,223,383,000 $2,806,489,000 $3,655,712,000 $-807,938,000 $848,122,000 $-854,103,000 $824,246,000
2023 $7,722,322,000 $2,065,659,000 $2,881,652,000 $-819,512,000 $545,639,000 $-92,624,000 $-145,803,000
2022 $6,649,698,000 $1,219,327,000 $1,896,287,000 $-696,673,000 $110,179,000 $178,198,000 $267,341,000
2021 $5,921,739,000 $592,049,000 $1,129,089,000 $-538,879,000 $-45,417,000 $4,775,290,000 $693,217,000