Recent Annual Filings for EGBN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $11,664,538,000 $625,327,000 $497,807,000 $137,684,000 $195,626,000 $312,903,000 $410,830,000
2022 $11,150,854,000 $424,613,000 $234,933,000 $-44,335,000 $194,902,000 $-670,193,000 $-1,402,368,000
2021 $11,847,310,000 $364,496,000 $126,822,000 $146,949,000 $239,534,000 $543,555,000 $-74,833,000
2020 $11,117,802,000 $389,986,000 $213,841,000 $144,758,000 $133,139,000 $1,971,619,000 $1,547,082,000
2019 $8,988,719,000 $429,630,000 $232,839,000 $150,177,000 $132,684,000 $424,552,000 $-79,891,000
2018 $8,389,137,000 $393,286,000 $189,078,000 $149,751,000 $164,455,000 $750,737,000 $131,391,000
2017 $7,479,029,000 $324,034,000 $138,298,000 $100,863,000 $160,533,000 $472,154,000 $-177,690,000
2016 $6,890,096,000 $285,805,000 $126,703,000 $95,135,000 $116,820,000 $703,932,000 $69,800,000