Recent Annual Filings for STX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,739,000,000 $6,551,000,000 $6,099,000,000 $235,000,000 $918,000,000 $-473,000,000 $572,000,000
2023 $7,556,000,000 $7,384,000,000 $7,726,000,000 $-467,000,000 $942,000,000 $-988,000,000 $171,000,000
2022 $8,944,000,000 $11,661,000,000 $9,706,000,000 $1,726,000,000 $1,657,000,000 $-1,899,000,000 $-594,000,000
2021 $8,675,000,000 $10,681,000,000 $9,189,000,000 $1,339,000,000 $1,626,000,000 $-1,673,000,000 $-513,000,000
2020 $8,930,000,000 $10,509,000,000 $9,209,000,000 $972,000,000 $1,714,000,000 $-1,605,000,000 $-527,000,000
2019 $8,885,000,000 $10,390,000,000 $8,903,000,000 $1,994,000,000 $1,761,000,000 $-2,212,000,000 $394,000,000
2018 $9,410,000,000 $11,184,000,000 $9,550,000,000 $1,183,000,000 $2,113,000,000 $-1,211,000,000 $-686,000,000
2017 $9,268,000,000 $10,771,000,000 $9,717,000,000 $780,000,000 $1,916,000,000 $-46,000,000 $1,411,000,000