Recent Annual Filings for BANR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $16,200,037,000 $541,716,000 $474,828,000 $180,759,000 $293,187,000 $325,377,000 $247,394,000
2023 $15,670,391,000 $576,005,000 $531,596,000 $257,258,000 $257,199,000 $-437,726,000 $11,402,000
2022 $15,833,431,000 $553,179,000 $477,924,000 $-167,575,000 $238,051,000 $-684,732,000 $-1,891,238,000
2021 $16,804,872,000 $496,891,000 $400,475,000 $132,163,000 $301,578,000 $1,613,965,000 $900,117,000
2020 $15,031,623,000 $481,301,000 $382,685,000 $151,741,000 $125,386,000 $2,255,686,000 $926,448,000
2019 $12,604,031,000 $468,911,000 $386,962,000 $172,430,000 $148,874,000 $29,779,000 $35,539,000
2018 $11,871,317,000 $430,973,000 $346,965,000 $120,451,000 $30,775,000 $956,439,000 $10,996,000
2017 $9,763,209,000 $393,034,000 $299,499,000 $59,990,000 $346,702,000 $60,066,000 $13,481,000