Recent Annual Filings for EWBC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $69,612,884,000 $3,693,805,000 $2,234,035,000 $1,306,194,000 $1,424,909,000 $3,962,454,000 $1,133,200,000
2022 $64,112,150,000 $2,321,231,000 $909,577,000 $452,835,000 $2,066,022,000 $2,114,210,000 $-431,151,000
2021 $60,870,701,000 $1,618,734,000 $562,357,000 $738,275,000 $1,168,422,000 $7,835,045,000 $-105,036,000
2020 $52,156,913,000 $1,595,042,000 $909,277,000 $630,530,000 $693,325,000 $6,908,793,000 $756,822,000
2019 $44,196,096,000 $55,316,000 $-788,601,000 $713,801,000 $735,829,000 $2,124,962,000 $259,772,000
2018 $41,042,356,000 $53,644,000 $-765,052,000 $689,317,000 $883,172,000 $3,800,808,000 $826,785,000
2017 $37,150,249,000 $1,325,119,000 $590,019,000 $516,251,000 $696,906,000 $2,068,460,000 $296,089,000
2016 $34,788,840,000 $1,137,481,000 $565,293,000 $398,472,000 $641,856,000 $1,680,360,000 $517,616,000