Recent Annual Filings for CCBG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,324,932,000 $194,657,000 $129,089,000 $68,575,000 $63,573,000 $-52,138,000 $79,787,000
2023 $4,304,477,000 $181,068,000 $117,207,000 $67,341,000 $66,351,000 $-274,824,000 $-288,583,000
2022 $4,525,958,000 $131,348,000 $81,251,000 $19,132,000 $60,565,000 $238,429,000 $-434,704,000
2021 $4,263,849,000 $106,351,000 $56,900,000 $61,324,000 $115,924,000 $438,601,000 $106,805,000
2020 $3,798,071,000 $106,197,000 $53,313,000 $15,615,000 $-48,611,000 $631,331,000 $550,126,000
2019 $3,088,953,000 $112,836,000 $72,076,000 $31,441,000 $53,689,000 $95,609,000 $102,423,000
2018 $2,959,183,000 $99,395,000 $69,750,000 $29,453,000 $34,626,000 $49,951,000 $-9,442,000
2016 $2,845,197,000 $81,154,000 $63,541,000 $7,778,000 $22,621,000 $31,882,000 $-82,858,000