Recent Annual Filings for FFBC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $18,570,261,000 $1,002,095,000 $733,771,000 $-828,000 $262,156,000 $699,078,000 $-38,801,000
2023 $17,532,900,000 $903,004,000 $584,408,000 $-1,179,000 $486,969,000 $219,854,000 $5,558,000
2022 $17,003,316,000 $585,006,000 $343,284,000 $14,667,000 $200,846,000 $669,729,000 $-12,530,000
2021 $16,329,141,000 $483,217,000 $242,284,000 $-5,266,000 $390,462,000 $110,849,000 $-11,023,000
2020 $15,973,134,000 $524,963,000 $340,552,000 $-3,922,000 $109,888,000 $1,125,346,000 $30,363,000
2019 $14,511,625,000 $607,578,000 $364,716,000 $-6,020,000 $186,329,000 $30,565,000 $-35,530,000
2018 $13,986,660,000 $540,382,000 $326,161,000 $10,544,000 $261,398,000 $30,010,000 $85,571,000
2017 $8,896,923,000 $333,073,000 $216,910,000 $-4,286,000 $121,171,000 $334,980,000 $29,052,000