Recent Annual Filings for BHB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,083,327,000 $188,724,000 $136,110,000 $41,870,000 $52,371,000 $66,834,000 $-22,680,000
2023 $3,970,885,000 $174,182,000 $117,065,000 $53,330,000 $47,403,000 $17,434,000 $2,547,000
2022 $3,909,803,000 $29,364,000 $-25,481,000 $-17,086,000 $57,601,000 $194,885,000 $-158,094,000
2021 $3,709,233,000 $28,391,000 $-20,237,000 $34,862,000 $60,478,000 $-30,034,000 $24,382,000
2020 $3,725,762,000 $24,705,000 $-16,946,000 $40,349,000 $38,173,000 $-11,823,000 $169,097,000
2019 $3,669,128,000 $22,190,000 $-4,639,000 $38,333,000 $36,403,000 $6,734,000 $-41,844,000
2018 $3,608,487,000 $21,523,000 $-18,976,000 $26,669,000 $37,722,000 $14,311,000 $8,069,000
2017 $3,565,184,000 $116,069,000 $73,446,000 $25,765,000 $40,132,000 $201,120,000 $82,246,000