Recent Annual Filings for FFWM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,645,265,000 $36,229,000 $173,609,000 $-87,135,000 $-8,784,000 $-589,077,000 $-310,497,000
2023 $13,327,248,000 $35,272,000 $235,336,000 $-201,308,000 $5,820,000 $529,436,000 $670,135,000
2022 $13,014,179,000 $38,787,000 $-111,016,000 $96,294,000 $101,054,000 $2,679,965,000 $-465,263,000
2021 $10,196,204,000 $36,022,000 $-115,763,000 $97,699,000 $96,935,000 $474,488,000 $492,050,000
2020 $6,957,160,000 $29,465,000 $-89,302,000 $94,180,000 $67,442,000 $521,774,000 $564,320,000
2019 $6,314,436,000 $28,658,000 $-50,841,000 $61,668,000 $60,437,000 $364,677,000 $-1,925,000
2018 $5,840,412,000 $28,748,000 $-31,338,000 $46,896,000 $50,981,000 $575,487,000 $-53,082,000
2017 $4,541,185,000 $136,801,000 $86,202,000 $28,592,000 $37,872,000 $53,557,000 $-477,552,000