Recent Annual Filings for CLBK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $10,645,568,000 $394,978,000 $348,927,000 $56,647,000 $40,716,000 $163,660,000 $244,021,000
2022 $10,408,169,000 $309,670,000 $192,794,000 $-47,204,000 $142,158,000 $580,832,000 $108,265,000
2021 $9,224,097,000 $270,150,000 $143,969,000 $115,755,000 $98,704,000 $-7,093,000 $-351,994,000
2020 $8,798,536,000 $295,711,000 $219,454,000 $56,713,000 $47,886,000 $41,879,000 $347,410,000
2019 $8,188,694,000 $261,083,000 $190,001,000 $58,427,000 $123,770,000 $532,536,000 $33,346,000
2018 $6,691,618,000 $226,290,000 $192,631,000 $16,249,000 $56,594,000 $863,258,000 $918,909,000