Recent Annual Filings for BMRC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,701,335,000 $141,273,000 $155,108,000 $14,529,000 $28,365,000 $-116,688,000 $106,851,000
2023 $3,803,903,000 $139,494,000 $113,458,000 $40,635,000 $35,659,000 $-385,321,000 $-14,971,000
2022 $4,147,464,000 $130,041,000 $66,532,000 $-25,136,000 $55,277,000 $-139,397,000 $-302,217,000
2021 $4,314,209,000 $108,353,000 $63,467,000 $18,603,000 $45,253,000 $442,734,000 $147,321,000
2020 $2,911,926,000 $99,638,000 $59,051,000 $38,340,000 $40,845,000 $149,530,000 $16,932,000
2019 $2,707,280,000 $100,437,000 $54,543,000 $42,846,000 $40,933,000 $128,988,000 $149,167,000
2018 $2,520,892,000 $95,080,000 $51,663,000 $31,644,000 $42,107,000 $13,872,000 $-169,324,000
2017 $2,468,154,000 $76,596,000 $47,758,000 $16,783,000 $26,947,000 $119,981,000 $154,741,000