Recent Annual Filings for SVC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,119,558,000 $1,896,928,000 $1,769,101,000 $-275,979,000 $139,391,000 $43,024,000 $-40,444,000
2023 $7,356,116,000 $1,873,863,000 $1,678,947,000 $-32,844,000 $485,549,000 $-303,562,000 $152,410,000
2022 $7,488,191,000 $1,863,011,000 $1,698,954,000 $-130,777,000 $243,127,000 $-1,542,378,000 $-901,998,000
2021 $9,153,315,000 $1,495,580,000 $1,709,183,000 $-543,064,000 $49,904,000 $907,368,000 $855,962,000
2020 $8,687,319,000 $1,265,254,000 $1,318,444,000 $-312,142,000 $37,604,000 $24,400,000 $10,197,000
2019 $9,033,967,000 $2,316,148,000 $1,943,462,000 $259,841,000 $617,722,000 $1,517,578,000 $5,256,000