Recent Annual Filings for BAC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,261,519,000,000 $101,887,000,000 $72,633,000,000 $29,635,000,000 $-8,805,000,000 $60,369,000,000 $-42,959,000,000
2023 $3,180,151,000,000 $98,581,000,000 $70,239,000,000 $29,883,000,000 $44,982,000,000 $93,345,000,000 $102,870,000,000
2022 $3,051,375,000,000 $94,950,000,000 $63,981,000,000 $11,476,000,000 $-6,327,000,000 $-106,039,000,000 $-118,018,000,000
2021 $3,169,495,000,000 $89,113,000,000 $55,137,000,000 $28,530,000,000 $-7,193,000,000 $291,650,000,000 $-32,242,000,000
2020 $2,819,627,000,000 $85,528,000,000 $66,533,000,000 $22,871,000,000 $37,993,000,000 $355,819,000,000 $218,903,000,000
2019 $2,434,079,000,000 $91,244,000,000 $58,490,000,000 $33,008,000,000 $61,777,000,000 $3,377,000,000 $-15,844,000,000
2018 $2,354,507,000,000 $91,247,000,000 $56,663,000,000 $24,231,000,000 $39,520,000,000 $53,118,000,000 $19,970,000,000
2017 $2,281,234,000,000 $87,352,000,000 $58,139,000,000 $18,438,000,000 $10,403,000,000 $49,195,000,000 $9,696,000,000