Recent Annual Filings for BWB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,066,242,000 $245,898,000 $203,162,000 $37,707,000 $46,376,000 $150,058,000 $101,198,000
2023 $4,611,990,000 $222,355,000 $169,833,000 $39,656,000 $30,015,000 $220,687,000 $41,519,000
2022 $4,345,662,000 $163,695,000 $91,985,000 $26,444,000 $84,999,000 $796,814,000 $-56,430,000
2021 $3,477,659,000 $128,879,000 $67,306,000 $48,114,000 $54,236,000 $499,987,000 $-17,202,000
2020 $2,927,345,000 $114,826,000 $79,160,000 $28,999,000 $23,019,000 $636,053,000 $128,740,000
2019 $2,268,830,000 $103,778,000 $65,452,000 $37,745,000 $39,527,000 $240,175,000 $3,491,000
2018 $1,973,741,000 $85,226,000 $53,082,000 $24,074,000 $29,408,000 $329,547,000 $4,719,000