Recent Annual Filings for FBP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $19,292,921,000 $1,225,875,000 $834,668,000 $371,338,000 $404,150,000 $-44,131,000 $496,251,000
2023 $18,909,549,000 $1,156,180,000 $758,744,000 $468,472,000 $362,963,000 $-101,854,000 $182,659,000
2022 $18,634,484,000 $985,706,000 $538,122,000 $-415,707,000 $440,485,000 $-1,821,578,000 $-2,062,553,000
2021 $20,785,275,000 $915,872,000 $488,055,000 $141,571,000 $399,721,000 $1,912,479,000 $1,049,225,000
2020 $18,793,071,000 $804,208,000 $687,885,000 $150,964,000 $297,738,000 $1,790,861,000 $849,734,000
2019 $12,611,266,000 $766,469,000 $527,097,000 $214,556,000 $294,284,000 $106,580,000 $57,896,000
2018 $12,243,561,000 $707,277,000 $516,639,000 $181,802,000 $288,323,000 $-195,257,000 $-130,192,000
2017 $12,261,268,000 $650,810,000 $588,827,000 $80,731,000 $235,964,000 $254,002,000 $416,710,000