Recent Annual Filings for SWK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $21,848,900,000 $15,365,700,000 $15,124,600,000 $42,500,000 $1,106,900,000 $-1,556,700,000 $-161,800,000
2023 $23,663,800,000 $15,781,100,000 $16,156,800,000 $-260,100,000 $1,191,300,000 $-816,000,000 $49,700,000
2022 $24,963,300,000 $16,947,400,000 $16,909,500,000 $782,800,000 $-1,459,500,000 $-1,971,100,000 $110,100,000
2020 $23,566,300,000 $14,534,600,000 $13,267,600,000 $1,381,300,000 $2,022,100,000 $615,900,000 $1,083,700,000
2019 $20,596,600,000 $14,442,200,000 $13,312,200,000 $885,500,000 $1,505,700,000 $-292,500,000 $3,200,000
2018 $19,408,000,000 $13,982,400,000 $12,960,300,000 $380,000,000 $1,260,900,000 $-561,600,000 $-343,700,000
2017 $19,079,900,000 $12,747,200,000 $11,221,100,000 $1,561,300,000 $1,418,600,000 $295,200,000 $-494,300,000
2016 $15,634,900,000 $11,406,900,000 $10,180,800,000 $738,300,000 $1,485,200,000 $-433,100,000 $666,400,000