Recent Annual Filings for ST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,143,264,000 $3,932,764,000 $3,783,488,000 $75,972,000 $551,547,000 $-442,801,000 $85,566,000
2023 $7,680,987,000 $4,054,083,000 $3,872,407,000 $22,317,000 $456,675,000 $-1,016,559,000 $-717,414,000
2022 $8,756,220,000 $4,029,262,000 $3,359,123,000 $313,981,000 $460,593,000 $-353,460,000 $-483,437,000
2021 $8,613,766,000 $3,820,806,000 $3,187,566,000 $393,555,000 $554,151,000 $174,918,000 $-153,025,000
2020 $7,844,202,000 $3,045,578,000 $2,707,841,000 $135,235,000 $559,775,000 $710,178,000 $1,087,861,000
2019 $6,834,519,000 $3,450,631,000 $2,893,746,000 $288,408,000 $619,562,000 $-366,499,000 $44,286,000
2018 $6,797,687,000 $3,521,627,000 $2,811,208,000 $635,981,000 $620,563,000 $-406,213,000 $-23,256,000