Recent Annual Filings for SPB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,842,300,000 $2,963,900,000 $2,800,300,000 $170,300,000 $162,600,000 $-1,578,200,000 $-394,400,000
2023 $5,258,400,000 $2,918,800,000 $3,209,000,000 $1,856,700,000 $-409,700,000 $-2,264,100,000 $506,300,000
2022 $5,775,600,000 $3,132,500,000 $3,222,800,000 $4,000,000 $-53,800,000 $487,600,000 $74,000,000
2021 $5,340,400,000 $2,998,100,000 $3,009,200,000 $239,400,000 $288,400,000 $-209,900,000 $-345,000,000
2020 $5,107,300,000 $3,964,200,000 $3,808,800,000 $87,500,000 $290,300,000 $-497,100,000 $-98,500,000
2019 $5,230,500,000 $3,802,100,000 $3,995,900,000 $434,900,000 $1,100,000 $-2,724,600,000 $65,700,000
2018 $7,747,700,000 $3,145,900,000 $3,302,200,000 $413,900,000 $343,100,000 $-1,288,800,000 $320,100,000
2016 $7,069,100,000 $5,039,700,000 $4,642,100,000 $328,000,000 $615,000,000 $-487,800,000 $27,400,000