Recent Annual Filings for CBSH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $31,996,627,000 $1,469,557,000 $790,067,000 $666,902,000 $577,859,000 $-372,937,000 $688,709,000
2023 $31,701,061,000 $1,381,291,000 $761,565,000 $680,629,000 $488,769,000 $-883,119,000 $1,789,482,000
2022 $31,875,931,000 $998,979,000 $366,601,000 $-663,924,000 $559,385,000 $-4,200,809,000 $-3,399,153,000
2021 $36,689,088,000 $848,290,000 $161,989,000 $286,293,000 $597,722,000 $3,573,662,000 $2,088,626,000
2020 $32,922,974,000 $872,648,000 $431,470,000 $574,818,000 $623,992,000 $6,067,032,000 $1,300,520,000
2019 $26,065,789,000 $924,685,000 $392,899,000 $597,825,000 $512,794,000 $-84,061,000 $-301,432,000
2018 $25,463,842,000 $889,201,000 $345,038,000 $389,825,000 $552,660,000 $223,252,000 $684,888,000
2017 $24,833,415,000 $777,407,000 $347,001,000 $323,033,000 $433,226,000 $-924,536,000 $-270,590,000