Recent Annual Filings for CCB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,121,208,000 $396,777,000 $339,460,000 $45,685,000 $259,786,000 $318,165,000 $-30,615,000
2023 $3,753,366,000 $330,371,000 $273,238,000 $46,444,000 $196,513,000 $543,461,000 $140,989,000
2022 $3,144,467,000 $192,170,000 $141,549,000 $38,287,000 $67,098,000 $449,828,000 $-471,022,000
2021 $2,635,517,000 $83,083,000 $48,706,000 $26,975,000 $29,847,000 $859,836,000 $-4,469,000
2020 $1,766,122,000 $63,038,000 $43,897,000 $15,212,000 $19,330,000 $622,265,000 $-24,945,000
2019 $1,128,526,000 $48,587,000 $31,925,000 $14,465,000 $13,671,000 $154,466,000 $3,591,000
2018 $952,110,000 $38,743,000 $26,501,000 $9,535,000 $14,402,000 $133,919,000 $9,200,000