Recent Annual Filings for FSBW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,029,177,000 $184,837,000 $143,256,000 $41,190,000 $50,823,000 $19,318,000 $-34,056,000
2023 $2,972,669,000 $4,612,000 $-40,660,000 $38,379,000 $77,669,000 $-131,084,000 $24,254,000
2022 $2,632,898,000 $3,185,000 $-33,803,000 $3,765,000 $184,898,000 $334,092,000 $14,946,000
2021 $2,286,391,000 $3,009,000 $-44,411,000 $35,131,000 $109,009,000 $136,739,000 $-65,085,000
2020 $2,113,241,000 $2,665,000 $-47,185,000 $41,009,000 $-32,317,000 $348,805,000 $45,798,000
2019 $1,713,056,000 $2,913,000 $-25,217,000 $24,984,000 $9,177,000 $59,023,000 $12,999,000
2018 $1,621,644,000 $3,233,000 $-25,337,000 $23,343,000 $21,437,000 $179,388,000 $13,864,000
2017 $981,783,000 $46,181,000 $25,602,000 $14,230,000 $15,084,000 $136,789,000 $-17,541,000