Recent Annual Filings for BOH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $23,601,114,000 $122,093,000 $-75,758,000 $203,293,000 $178,448,000 $-436,810,000 $-237,373,000
2023 $23,733,296,000 $810,375,000 $583,259,000 $209,172,000 $150,221,000 $-113,839,000 $599,177,000
2022 $23,606,877,000 $597,366,000 $306,732,000 $-142,472,000 $332,960,000 $761,791,000 $-158,667,000
2021 $22,784,941,000 $526,716,000 $201,162,000 $179,168,000 $377,151,000 $1,992,529,000 $-53,654,000
2020 $20,603,651,000 $546,424,000 $357,300,000 $192,738,000 $146,416,000 $2,282,296,000 $55,430,000
2019 $18,095,496,000 $587,397,000 $301,571,000 $245,844,000 $234,238,000 $571,719,000 $32,689,000
2018 $17,143,974,000 $550,173,000 $279,947,000 $210,751,000 $317,922,000 $-165,136,000 $78,118,000
2017 $17,089,052,000 $503,794,000 $235,730,000 $183,863,000 $175,145,000 $414,986,000 $-431,756,000