Recent Annual Filings for BOKF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $49,685,892,000 $2,636,464,000 $1,969,820,000 $619,613,000 $1,430,454,000 $-866,786,000 $86,436,000
2023 $49,824,830,000 $2,342,464,000 $1,659,216,000 $768,988,000 $66,183,000 $1,671,630,000 $-53,451,000
2022 $47,790,642,000 $1,392,102,000 $731,945,000 $-389,033,000 $5,122,270,000 $-1,954,678,000 $-1,435,694,000
2021 $50,249,431,000 $1,179,929,000 $383,829,000 $352,828,000 $-3,692,577,000 $2,746,742,000 $1,656,837,000
2020 $46,671,088,000 $1,269,000,000 $705,136,000 $666,016,000 $-416,256,000 $2,796,843,000 $-78,248,000
2019 $42,172,021,000 $1,531,958,000 $901,090,000 $678,193,000 $-473,679,000 $2,912,813,000 $115,397,000
2018 $38,020,504,000 $1,228,426,000 $662,941,000 $412,722,000 $-552,006,000 $1,186,007,000 $-1,173,630,000
2017 $32,272,160,000 $972,751,000 $454,473,000 $317,028,000 $214,931,000 $-1,174,930,000 $-220,443,000