Recent Annual Filings for EFSC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $15,596,431,000 $851,051,000 $619,807,000 $169,563,000 $247,400,000 $880,612,000 $331,141,000
2023 $14,518,590,000 $764,919,000 $518,393,000 $223,376,000 $268,238,000 $1,181,214,000 $141,670,000
2022 $13,054,172,000 $515,082,000 $255,622,000 $53,934,000 $216,640,000 $-563,186,000 $-1,730,330,000
2021 $13,537,358,000 $383,230,000 $214,597,000 $114,712,000 $160,575,000 $1,346,525,000 $1,483,986,000
2020 $9,751,571,000 $304,779,000 $212,832,000 $93,755,000 $135,514,000 $937,762,000 $370,447,000
2019 $7,333,791,000 $305,134,000 $189,098,000 $119,770,000 $92,457,000 $256,767,000 $-29,296,000
2018 $5,645,662,000 $237,802,000 $133,225,000 $84,587,000 $108,808,000 $266,039,000 $43,229,000
2017 $5,289,225,000 $202,539,000 $116,022,000 $46,113,000 $45,791,000 $221,174,000 $-45,479,000