Recent Annual Filings for BANF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $13,554,314,000 $724,139,000 $448,858,000 $233,536,000 $261,200,000 $966,499,000 $1,156,309,000
2023 $12,372,042,000 $623,936,000 $353,988,000 $233,986,000 $233,045,000 $-334,787,000 $-771,447,000
2022 $12,387,863,000 $419,820,000 $182,388,000 $119,387,000 $226,272,000 $2,411,784,000 $1,118,888,000
2021 $9,405,612,000 $327,021,000 $118,623,000 $162,350,000 $189,788,000 $-193,709,000 $433,110,000
2020 $9,212,357,000 $327,114,000 $203,602,000 $103,562,000 $154,341,000 $492,283,000 $-251,369,000
2019 $8,565,758,000 $336,657,000 $167,095,000 $140,472,000 $158,958,000 $234,721,000 $444,026,000
2018 $7,574,258,000 $303,204,000 $143,452,000 $125,384,000 $131,146,000 $-179,831,000 $-333,620,000
2017 $7,253,156,000 $248,068,000 $111,763,000 $84,018,000 $104,525,000 $147,449,000 $-92,586,000