Recent Annual Filings for CATY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $23,054,681,000 $52,263,000 $-265,279,000 $285,788,000 $329,155,000 $-302,466,000 $210,719,000
2023 $23,081,534,000 $43,912,000 $-359,670,000 $371,003,000 $384,742,000 $758,737,000 $-333,601,000
2022 $21,947,976,000 $42,179,000 $-430,357,000 $261,412,000 $467,390,000 $94,741,000 $-1,287,302,000
2021 $20,886,723,000 $39,074,000 $-342,769,000 $289,929,000 $334,317,000 $1,554,233,000 $1,028,626,000
2020 $19,043,134,000 $32,236,000 $-221,729,000 $231,868,000 $319,955,000 $749,549,000 $827,300,000
2019 $18,094,144,000 $31,481,000 $-317,888,000 $299,443,000 $434,979,000 $940,183,000 $-6,512,000
2018 $16,784,737,000 $27,985,000 $-309,702,000 $265,461,000 $336,538,000 $863,278,000 $65,489,000
2017 $15,640,186,000 $576,151,000 $277,844,000 $177,246,000 $248,874,000 $4,830,000 $29,039,000