Recent Annual Filings for EBTC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,827,726,000 $230,270,000 $178,644,000 $39,582,000 $46,531,000 $327,259,000 $27,249,000
2023 $4,466,034,000 $201,053,000 $149,808,000 $54,502,000 $57,157,000 $-45,690,000 $-210,997,000
2022 $4,438,333,000 $160,913,000 $104,767,000 $-58,153,000 $48,000,000 $44,515,000 $-168,987,000
2021 $4,447,819,000 $149,033,000 $93,275,000 $24,640,000 $62,233,000 $407,039,000 $182,794,000
2020 $4,014,324,000 $144,840,000 $103,212,000 $43,139,000 $40,335,000 $725,908,000 $189,988,000
2019 $3,235,049,000 $137,108,000 $92,527,000 $45,994,000 $43,619,000 $211,110,000 $674,000
2018 $2,964,358,000 $122,903,000 $85,206,000 $27,181,000 $41,801,000 $129,339,000 $8,314,000
2017 $2,817,564,000 $105,032,000 $69,411,000 $20,493,000 $37,931,000 $245,543,000 $4,331,000