Recent Annual Filings for SSRM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,189,020,000 $995,618,000 $1,314,352,000 $-352,582,000 $40,130,000 $6,918,000 $-104,612,000
2023 $5,385,773,000 $1,426,927,000 $1,629,335,000 $-120,225,000 $421,725,000 $-182,256,000 $-196,612,000
2022 $5,254,657,000 $1,148,033,000 $907,198,000 $210,428,000 $160,896,000 $-271,782,000 $-363,759,000
2021 $5,211,438,000 $1,474,199,000 $1,059,441,000 $425,922,000 $608,986,000 $-319,769,000 $156,944,000