Recent Annual Filings for SNV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $60,233,644,000 $3,193,589,000 $2,588,636,000 $625,759,000 $821,030,000 $-456,040,000 $542,561,000
2023 $59,809,534,000 $885,241,000 $189,079,000 $867,185,000 $1,282,623,000 $-1,132,943,000 $473,646,000
2022 $59,731,378,000 $1,048,730,000 $84,553,000 $-601,894,000 $1,191,489,000 $2,631,920,000 $-1,032,073,000
2021 $57,317,226,000 $883,109,000 $-106,251,000 $519,511,000 $794,016,000 $2,347,086,000 $-1,243,064,000
2020 $54,394,159,000 $839,687,000 $355,022,000 $466,689,000 $17,032,000 $5,401,940,000 $3,065,999,000
2019 $48,203,282,000 $2,050,638,000 $1,285,623,000 $723,841,000 $621,050,000 $1,576,166,000 $43,354,000
2018 $32,669,192,000 $223,032,000 $-324,322,000 $396,281,000 $538,052,000 $1,010,628,000 $210,631,000
2017 $31,221,837,000 $1,162,497,000 $682,359,000 $276,379,000 $641,626,000 $776,588,000 $2,673,000