Recent Annual Filings for FSBC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,593,125,000 $174,382,000 $107,766,000 $49,421,000 $38,914,000 $301,949,000 $61,585,000
2022 $3,227,159,000 $117,918,000 $55,060,000 $31,913,000 $45,975,000 $625,609,000 $-165,338,000
2021 $2,556,761,000 $81,583,000 $34,435,000 $40,530,000 $28,657,000 $561,190,000 $134,836,000
2019 $323,310,000 $13,047,000 $13,661,000 $-339,000 $930,000 $-7,490,000 $1,642,000
2018 $328,269,000 $12,540,000 $12,373,000 $117,000 $2,073,000 $13,195,000 $-4,106,000
2017 $314,630,000 $10,732,000 $9,994,000 $210,000 $-256,000 $41,073,000 $2,990,000
2016 $273,721,000 $9,317,000 $8,051,000 $1,065,000 $3,562,000 $16,288,000 $1,260,000