Recent Annual Filings for BCBP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,599,118,000 $194,009,000 $167,739,000 $20,875,000 $67,727,000 $-252,740,000 $37,759,000
2023 $3,832,397,000 $188,360,000 $146,905,000 $28,483,000 $35,158,000 $248,328,000 $50,164,000
2022 $3,546,193,000 $131,441,000 $68,331,000 $37,960,000 $40,889,000 $538,343,000 $-182,270,000
2021 $2,967,528,000 $112,573,000 $64,315,000 $35,573,000 $45,893,000 $112,175,000 $150,400,000
2020 $2,821,016,000 $113,426,000 $84,003,000 $22,870,000 $139,345,000 $-112,978,000 $-289,124,000
2019 $2,907,468,000 $123,555,000 $93,212,000 $23,892,000 $24,267,000 $195,718,000 $355,089,000
2018 $2,674,731,000 $105,097,000 $80,852,000 $14,955,000 $40,028,000 $497,205,000 $71,029,000
2017 $1,942,837,000 $77,571,000 $57,358,000 $11,253,000 $21,034,000 $221,086,000 $59,197,000