Recent Annual Filings for FRME

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $18,311,969,000 $948,006,000 $716,278,000 $188,687,000 $266,210,000 $-38,819,000 $-25,033,000
2023 $18,405,887,000 $893,886,000 $634,654,000 $286,967,000 $258,833,000 $75,647,000 $-9,945,000
2022 $17,938,306,000 $605,006,000 $349,332,000 $-72,175,000 $268,045,000 $133,844,000 $-44,552,000
2021 $15,453,149,000 $446,632,000 $205,842,000 $185,808,000 $207,382,000 $1,236,314,000 $-25,750,000
2020 $14,067,210,000 $448,508,000 $278,533,000 $195,562,000 $204,811,000 $1,362,909,000 $15,695,000
2019 $12,457,254,000 $465,405,000 $271,620,000 $213,756,000 $178,407,000 $865,946,000 $37,954,000
2018 $9,884,716,000 $407,944,000 $219,806,000 $141,251,000 $180,235,000 $379,683,000 $-15,658,000
2017 $9,367,478,000 $314,896,000 $181,302,000 $106,743,000 $126,502,000 $535,806,000 $26,978,000