Recent Annual Filings for STC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,730,145,000 $2,490,419,000 $2,376,108,000 $79,974,000 $135,609,000 $-60,958,000 $-17,067,000
2023 $2,702,861,000 $2,257,341,000 $2,196,480,000 $61,726,000 $83,042,000 $-69,099,000 $-15,002,000
2022 $2,737,879,000 $3,069,296,000 $2,836,644,000 $130,192,000 $191,860,000 $-123,220,000 $-237,552,000
2021 $2,813,362,000 $3,305,792,000 $2,871,821,000 $323,213,000 $390,291,000 $310,374,000 $53,236,000
2020 $1,978,575,000 $2,288,432,000 $2,069,927,000 $189,393,000 $275,806,000 $54,301,000 $102,074,000
2019 $1,592,785,000 $1,940,008,000 $1,823,041,000 $112,344,000 $166,359,000 $-37,762,000 $138,542,000
2018 $1,372,930,000 $1,907,672,000 $1,835,143,000 $38,690,000 $84,177,000 $-47,758,000 $41,988,000
2017 $1,405,886,000 $1,955,724,000 $1,880,657,000 $68,180,000 $108,068,000 $-43,595,000 $-35,693,000