Recent Annual Filings for SOFI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $36,250,951,000 $503,123,000 $269,778,000 $491,509,000 $-1,119,807,000 $5,034,577,000 $-906,218,000
2023 $30,074,858,000 $421,454,000 $722,612,000 $-293,655,000 $-7,227,139,000 $10,885,602,000 $1,769,276,000
2022 $19,007,675,000 $377,096,000 $695,817,000 $-327,232,000 $-7,255,858,000 $8,439,485,000 $1,077,865,000
2021 $9,176,326,000 $247,718,000 $728,895,000 $-485,242,000 $-1,350,217,000 $684,987,000 $-554,991,000