Recent Annual Filings for FBK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $13,157,482,000 $725,538,000 $578,868,000 $149,092,000 $138,800,000 $386,760,000 $231,556,000
2023 $12,604,403,000 $678,410,000 $528,118,000 $154,948,000 $211,072,000 $-371,977,000 $-216,120,000
2022 $12,847,756,000 $481,422,000 $321,848,000 $-50,720,000 $789,326,000 $184,104,000 $-770,688,000
2021 $12,597,686,000 $384,998,000 $141,947,000 $168,564,000 $54,878,000 $1,274,522,000 $479,842,000
2020 $11,207,330,000 $314,644,000 $232,183,000 $79,086,000 $-269,287,000 $1,045,083,000 $1,085,217,000
2019 $6,124,921,000 $282,537,000 $172,998,000 $100,179,000 $63,905,000 $226,333,000 $107,325,000
2018 $5,136,764,000 $239,571,000 $133,717,000 $75,752,000 $212,208,000 $379,898,000 $5,605,000
2017 $4,727,713,000 $169,613,000 $96,128,000 $54,072,000 $37,610,000 $212,982,000 $-16,576,000