Recent Annual Filings for COLB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $51,576,397,000 $148,814,000 $411,837,000 $658,866,000 $-1,057,716,000 $-284,279,000
2023 $52,173,596,000 $134,259,000 $435,437,000 $669,840,000 $-303,685,000 $867,891,000
2022 $20,265,843,000 $646,481,000 $328,834,000 $-295,479,000 $300,684,000 $-437,967,000 $-532,973,000
2021 $20,945,333,000 $536,065,000 $279,556,000 $55,787,000 $235,065,000 $2,294,243,000 $170,948,000
2020 $16,584,779,000 $517,809,000 $325,417,000 $296,072,000 $192,292,000 $2,132,586,000 $406,093,000
2019 $14,079,524,000 $529,952,000 $288,341,000 $270,123,000 $204,747,000 $630,789,000 $-29,914,000
2018 $13,095,145,000 $497,069,000 $285,233,000 $159,645,000 $237,201,000 $203,936,000 $-64,946,000
2017 $12,716,886,000 $374,746,000 $196,763,000 $113,684,000 $128,525,000 $189,259,000 $118,295,000