Recent Annual Filings for CVBF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $15,153,655,000 $630,112,000 $358,874,000 $212,221,000 $249,765,000 $-1,179,098,000 $-76,587,000
2023 $16,020,993,000 $606,330,000 $290,896,000 $252,662,000 $295,632,000 $-754,084,000 $77,824,000
2022 $16,476,540,000 $514,668,000 $186,321,000 $-115,403,000 $273,731,000 $-625,852,000 $-1,529,087,000
2021 $15,883,697,000 $420,630,000 $122,982,000 $173,204,000 $195,242,000 $1,309,637,000 $-225,612,000
2020 $14,419,314,000 $430,337,000 $180,817,000 $199,894,000 $185,096,000 $2,856,304,000 $1,772,642,000
2019 $11,282,450,000 $457,850,000 $166,776,000 $238,725,000 $208,182,000 $-511,935,000 $21,570,000
2018 $11,529,153,000 $361,860,000 $150,745,000 $131,911,000 $168,378,000 $-956,463,000 $19,571,000
2017 $8,270,586,000 $287,226,000 $98,431,000 $95,692,000 $139,592,000 $-255,700,000 $22,744,000