Recent Annual Filings for BHLB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $12,430,821,000 $411,829,000 $333,507,000 $107,634,000 $157,156,000 $645,194,000 $517,889,000
2022 $11,662,864,000 $413,534,000 $299,716,000 $-85,276,000 $123,233,000 $207,695,000 $-942,452,000
2021 $11,554,913,000 $434,414,000 $285,393,000 $84,550,000 $105,477,000 $-636,099,000 $69,932,000
2020 $12,838,013,000 $383,089,000 $916,117,000 $-514,139,000 $227,641,000 $109,302,000 $978,046,000
2019 $13,215,970,000 $449,260,000 $325,276,000 $122,913,000 $111,525,000 $-917,467,000 $396,640,000
2018 $12,212,231,000 $469,235,000 $335,822,000 $93,491,000 $222,254,000 $573,689,000 $-65,574,000
2017 $11,570,751,000 $420,484,000 $320,735,000 $49,642,000 $78,091,000 $340,500,000 $135,688,000
2016 $9,162,542,000 $298,118,000 $220,664,000 $71,741,000 $98,142,000 $118,966,000 $9,513,000