Recent Annual Filings for CFR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $50,845,038,000 $1,987,206,000 $1,274,833,000 $827,048,000 $478,845,000 $-2,876,950,000 $-3,340,856,000
2022 $52,892,376,000 $1,696,101,000 $1,027,274,000 $-1,116,462,000 $722,582,000 $2,999,880,000 $-4,554,868,000
2021 $50,878,490,000 $1,371,595,000 $882,057,000 $277,427,000 $648,293,000 $8,170,869,000 $6,294,147,000
2020 $42,391,317,000 $1,441,455,000 $1,090,134,000 $576,751,000 $524,243,000 $7,607,476,000 $6,500,672,000
2019 $34,027,428,000 $1,367,907,000 $868,438,000 $774,569,000 $634,090,000 $585,062,000 $-167,598,000
2018 $32,292,966,000 $1,309,178,000 $800,497,000 $302,271,000 $562,388,000 $253,664,000 $-1,097,268,000
2017 $31,747,880,000 $1,202,892,000 $794,529,000 $468,284,000 $538,079,000 $1,044,118,000 $911,602,000
2016 $30,196,319,000 $1,126,044,000 $784,633,000 $165,775,000 $437,842,000 $1,486,061,000 $549,922,000