Recent Annual Filings for SYBT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,863,419,000 $412,879,000 $268,513,000 $116,186,000 $142,868,000 $559,250,000 $25,061,000
2023 $8,170,102,000 $346,696,000 $208,769,000 $130,486,000 $106,703,000 $415,938,000 $98,592,000
2022 $7,496,261,000 $251,652,000 $131,168,000 $-14,302,000 $108,742,000 $-518,142,000 $-793,825,000
2021 $6,646,025,000 $177,076,000 $81,679,000 $57,964,000 $102,100,000 $620,021,000 $643,247,000
2020 $4,608,629,000 $23,406,000 $-44,337,000 $66,933,000 $77,125,000 $795,814,000 $68,221,000
2019 $3,724,197,000 $22,643,000 $-53,017,000 $71,886,000 $58,436,000 $155,522,000 $50,785,000
2018 $3,302,924,000 $23,810,000 $-43,738,000 $52,811,000 $65,889,000 $5,372,000 $59,691,000
2017 $3,239,646,000 $110,849,000 $55,667,000 $37,612,000 $53,676,000 $152,304,000 $91,275,000