Recent Annual Filings for BWFG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,268,476,000 $1,963,000 $-11,366,000 $10,190,000 $29,936,000 $42,392,000 $38,367,000
2023 $3,215,482,000 $1,629,000 $-46,414,000 $35,188,000 $31,927,000 $-70,147,000 $-86,522,000
2022 $3,252,449,000 $1,072,000 $-46,911,000 $45,801,000 $82,668,000 $739,490,000 $10,997,000
2021 $2,456,264,000 $872,000 $-32,989,000 $33,600,000 $34,558,000 $170,551,000 $-64,916,000
2020 $2,253,747,000 $788,000 $-6,513,000 $-2,155,000 $-1,512,000 $355,003,000 $331,547,000
2019 $1,882,182,000 $82,948,000 $60,006,000 $11,737,000 $6,631,000 $-25,378,000 $-61,000
2018 $1,873,665,000 $80,064,000 $58,911,000 $14,702,000 $19,977,000 $62,016,000 $7,381,000
2017 $1,796,607,000 $71,201,000 $46,072,000 $14,333,000 $20,572,000 $148,266,000 $-25,624,000