Recent Annual Filings for CBFV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,481,564,000 $76,131,000 $60,788,000 $12,106,000 $6,750,000 $10,984,000 $-18,651,000
2023 $1,456,091,000 $62,225,000 $31,940,000 $32,044,000 $14,236,000 $5,014,000 $-35,477,000
2022 $1,408,938,000 $47,716,000 $33,636,000 $-14,067,000 $14,151,000 $-1,818,000 $-15,974,000
2021 $1,425,479,000 $43,557,000 $28,862,000 $7,241,000 $13,055,000 $5,846,000 $-41,237,000
2020 $1,416,720,000 $47,467,000 $56,859,000 $-9,884,000 $14,077,000 $103,513,000 $80,694,000
2019 $1,321,537,000 $51,031,000 $34,975,000 $18,413,000 $17,870,000 $20,029,000 $26,864,000
2018 $1,281,301,000 $43,626,000 $35,036,000 $6,993,000 $13,658,000 $-8,394,000 $32,731,000
2017 $934,486,000 $32,434,000 $22,616,000 $7,002,000 $11,603,000 $80,628,000 $6,340,000