Recent Annual Filings for CBNK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,206,911,000 $213,301,000 $171,469,000 $32,600,000 $34,926,000 $386,394,000 $151,368,000
2023 $2,226,176,000 $183,206,000 $136,981,000 $39,525,000 $47,418,000 $56,969,000 $-26,451,000
2022 $2,123,655,000 $150,646,000 $96,412,000 $26,129,000 $51,390,000 $44,085,000 $-102,980,000
2021 $2,055,300,000 $123,243,000 $69,367,000 $37,185,000 $132,076,000 $142,640,000 $36,485,000
2020 $1,876,593,000 $97,251,000 $62,114,000 $27,527,000 $5,457,000 $412,141,000 $32,086,000
2019 $1,428,495,000 $83,354,000 $60,640,000 $17,503,000 $-26,346,000 $295,294,000 $80,101,000
2018 $1,105,058,000 $69,127,000 $51,378,000 $12,419,000 $28,302,000 $63,373,000 $-17,588,000
2015 $678,574,000 $25,202,000 $21,174,000 $3,007,000 $5,357,000 $35,369,000 $-21,540,000