Recent Annual Filings for FBIZ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,853,215,000 $233,130,000 $181,980,000 $46,537,000 $57,491,000 $289,173,000 $18,192,000
2023 $3,507,846,000 $194,928,000 $147,789,000 $38,620,000 $52,292,000 $491,385,000 $36,828,000
2022 $2,976,611,000 $121,371,000 $69,127,000 $27,005,000 $38,645,000 $252,194,000 $45,572,000
2021 $2,652,905,000 $95,995,000 $48,965,000 $35,231,000 $35,992,000 $75,221,000 $201,000
2020 $2,567,837,000 $94,179,000 $75,874,000 $17,393,000 $26,635,000 $417,679,000 $-10,193,000
2019 $2,096,779,000 $102,040,000 $77,541,000 $23,660,000 $28,985,000 $83,068,000 $-19,444,000
2018 $1,966,457,000 $91,275,000 $73,621,000 $15,874,000 $25,694,000 $146,579,000 $34,007,000
2017 $1,794,066,000 $75,811,000 $61,580,000 $11,411,000 $22,408,000 $-1,033,000 $-24,978,000