Recent Annual Filings for STLD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $14,935,233,000 $17,540,390,000 $15,557,509,000 $1,549,535,000 $1,844,503,000 $-1,352,597,000 $-811,454,000
2023 $14,908,420,000 $18,795,316,000 $15,576,373,000 $2,466,864,000 $3,519,928,000 $-1,777,134,000 $-227,455,000
2022 $14,159,984,000 $22,260,774,000 $17,239,705,000 $3,882,472,000 $4,460,403,000 $-2,196,584,000 $384,550,000
2021 $12,531,234,000 $18,408,850,000 $14,199,780,000 $3,242,821,000 $2,204,136,000 $-1,329,469,000 $-124,753,000
2020 $9,265,562,000 $9,601,482,000 $8,896,004,000 $572,737,000 $987,032,000 $-7,048,000 $-13,275,000
2019 $8,275,765,000 $10,464,991,000 $9,589,654,000 $677,592,000 $1,396,290,000 $-266,630,000 $552,974,000
2018 $7,703,563,000 $11,821,839,000 $10,202,065,000 $1,256,106,000 $1,415,469,000 $-720,867,000 $-200,662,000
2017 $6,855,732,000 $9,538,797,000 $8,603,562,000 $805,796,000 $739,606,000 $-413,335,000 $187,166,000