Recent Annual Filings for CWBC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,521,771,000 $160,388,000 $149,390,000 $18,585,000 $22,202,000 $-20,005,000 $66,670,000
2023 $1,087,068,000 $987,000 $-9,823,000 $7,071,000 $25,586,000 $-14,514,000 $7,508,000
2022 $1,091,502,000 $853,000 $-17,858,000 $12,586,000 $5,856,000 $-76,647,000 $-143,685,000
2021 $1,157,052,000 $711,000 $-17,602,000 $13,158,000 $22,220,000 $167,838,000 $147,835,000
2020 $975,435,000 $455,000 $-11,300,000 $8,358,000 $15,843,000 $53,603,000 $-22,121,000
2019 $913,870,000 $8,026,000 $13,937,000 $22,347,000 $25,746,000
2018 $877,291,000 $42,631,000 $32,413,000 $7,302,000 $16,321,000 $32,780,000 $11,046,000
2017 $833,315,000 $37,391,000 $26,928,000 $4,969,000 $14,243,000 $114,519,000 $11,753,000