Recent Annual Filings for STT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $353,240,000,000 $13,000,000,000 $9,605,000,000 $2,941,000,000 $-13,210,000,000 $51,791,000,000 $-902,000,000
2023 $297,258,000,000 $11,945,000,000 $9,629,000,000 $3,301,000,000 $690,000,000 $-13,351,000,000 $77,000,000
2022 $301,450,000,000 $12,148,000,000 $8,821,000,000 $196,000,000 $11,954,000,000 $-18,431,000,000 $339,000,000
2021 $314,624,000,000 $12,027,000,000 $8,856,000,000 $1,373,000,000 $-6,710,000,000 $9,046,000,000 $164,000,000
2020 $314,706,000,000 $11,703,000,000 $8,804,000,000 $3,483,000,000 $3,532,000,000 $62,167,000,000 $165,000,000
2019 $245,610,000,000 $11,756,000,000 $9,044,000,000 $2,806,000,000 $5,690,000,000 $-2,974,000,000 $90,000,000
2018 $244,626,000,000 $11,982,000,000 $8,983,000,000 $2,252,000,000 $10,457,000,000 $-4,471,000,000 $1,490,000,000
2017 $238,425,000,000 $11,170,000,000 $8,271,000,000 $3,208,000,000 $6,933,000,000 $-6,188,000,000 $793,000,000