Recent Annual Filings for SSNC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $18,102,500,000 $5,502,800,000 $4,645,100,000 $732,400,000 $1,215,100,000 $712,800,000 $1,659,500,000
2022 $16,653,300,000 $5,283,000,000 $4,406,900,000 $340,900,000 $1,134,300,000 $-1,184,500,000 $-1,807,800,000
2021 $17,333,000,000 $5,051,000,000 $4,014,000,000 $759,600,000 $1,429,000,000 $556,700,000 $1,837,500,000
2020 $15,923,600,000 $4,667,900,000 $3,892,100,000 $677,200,000 $1,184,700,000 $-1,428,100,000 $-453,900,000
2019 $16,741,100,000 $4,632,900,000 $4,101,200,000 $528,500,000 $1,328,300,000 $-513,400,000 $674,400,000
2018 $16,107,500,000 $3,421,100,000 $3,296,000,000 $-157,100,000 $640,100,000 $7,517,000,000 $1,054,500,000
2017 $5,539,516,000 $1,675,295,000 $1,392,665,000 $385,282,000 $470,362,000 $-466,413,000 $-55,025,000
2016 $5,706,971,000 $1,481,436,000 $1,317,820,000 $75,093,000 $418,407,000 $-236,094,000 $-316,601,000