Recent Annual Filings for EQBK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,332,047,000 $296,843,000 $218,562,000 $65,360,000 $73,845,000 $-192,926,000 $4,648,000
2023 $5,034,592,000 $246,712,000 $244,297,000 $63,412,000 $76,527,000 $-34,026,000 $274,671,000
2022 $4,981,651,000 $188,248,000 $117,966,000 $-57,599,000 $74,073,000 $-15,415,000 $-155,526,000
2021 $5,137,631,000 $157,368,000 $92,932,000 $34,475,000 $102,698,000 $191,897,000 $-20,744,000
2020 $4,013,356,000 $155,561,000 $230,131,000 $-55,186,000 $43,621,000 $51,782,000 $191,407,000
2019 $3,949,578,000 $175,499,000 $142,642,000 $30,443,000 $48,521,000 $-248,149,000 $-103,527,000
2018 $4,061,716,000 $161,556,000 $115,381,000 $34,039,000 $36,666,000 $275,445,000 $140,623,000
2017 $3,170,509,000 $102,693,000 $71,667,000 $20,794,000 $27,138,000 $212,396,000 $17,100,000