Recent Annual Filings for CFBK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,065,523,000 $118,389,000 $102,245,000 $13,874,000 $14,189,000 $-7,518,000 $-26,323,000
2023 $2,058,615,000 $108,279,000 $87,294,000 $16,684,000 $18,051,000 $213,610,000 $109,808,000
2022 $1,820,174,000 $67,764,000 $45,172,000 $16,297,000 $39,764,000 $298,753,000 $-14,804,000
2021 $1,495,589,000 $52,348,000 $29,530,000 $18,187,000 $253,303,000 $8,424,000 $-55,003,000
2020 $1,476,995,000 $42,386,000 $6,103,000 $29,676,000 $-123,465,000 $558,934,000 $175,715,000
2019 $880,545,000 $35,104,000 $23,063,000 $9,702,000 $-103,538,000 $193,515,000 $-21,425,000
2018 $665,025,000 $24,886,000 $19,556,000 $4,247,000 $-11,810,000 $177,382,000 $21,806,000
2017 $481,425,000 $17,207,000 $13,746,000 $1,297,000 $3,951,000 $42,984,000 $-12,443,000