Recent Annual Filings for SYF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $119,463,000,000 $18,011,000,000 $13,458,000,000 $3,508,000,000 $9,848,000,000 $-611,000,000 $334,000,000
2023 $117,479,000,000 $16,999,000,000 $14,095,000,000 $2,295,000,000 $8,593,000,000 $9,632,000,000 $3,991,000,000
2022 $104,564,000,000 $15,625,000,000 $11,663,000,000 $2,960,000,000 $6,694,000,000 $5,284,000,000 $1,744,000,000
2021 $95,748,000,000 $14,239,000,000 $8,736,000,000 $4,203,000,000 $7,099,000,000 $-5,204,000,000 $-2,919,000,000
2020 $95,948,000,000 $14,402,000,000 $12,605,000,000 $1,392,000,000 $7,487,000,000 $-8,031,000,000 $-1,042,000,000
2019 $104,826,000,000 $16,799,000,000 $11,912,000,000 $3,764,000,000 $8,990,000,000 $-6,458,000,000 $2,271,000,000
2018 $106,792,000,000 $16,118,000,000 $12,474,000,000 $2,792,000,000 $9,342,000,000 $8,253,000,000 $-1,441,000,000
2017 $95,808,000,000 $15,016,000,000 $11,692,000,000 $1,924,000,000 $8,916,000,000 $2,775,000,000 $2,281,000,000