Recent Annual Filings for STBA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $9,551,526,000 $477,901,000 $299,097,000 $166,005,000 $171,749,000 $296,073,000 $23,603,000
2022 $9,110,567,000 $340,751,000 $171,821,000 $30,485,000 $240,434,000 $-554,053,000 $-712,206,000
2021 $9,488,529,000 $289,262,000 $153,594,000 $94,282,000 $216,111,000 $464,458,000 $692,549,000
2020 $8,967,897,000 $320,464,000 $299,425,000 $41,681,000 $53,451,000 $139,493,000 $31,843,000
2019 $8,764,649,000 $320,484,000 $203,124,000 $109,671,000 $138,423,000 $114,467,000 $42,334,000
2018 $7,252,221,000 $289,826,000 $166,647,000 $104,943,000 $128,017,000 $112,284,000 $38,337,000
2017 $7,060,255,000 $260,642,000 $141,237,000 $68,325,000 $114,236,000 $75,845,000 $-22,334,000
2016 $6,943,053,000 $227,774,000 $131,077,000 $74,065,000 $96,796,000 $559,944,000 $40,087,000