Recent Annual Filings for FULT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $32,071,810,000 $296,014,000 $-48,615,000 $313,204,000 $416,565,000 $-1,531,736,000 $514,161,000
2023 $27,571,915,000 $228,411,000 $-120,310,000 $357,476,000 $362,984,000 $314,020,000 $-132,211,000
2022 $26,931,702,000 $227,157,000 $-119,858,000 $-125,906,000 $598,266,000 $-15,901,000 $-956,693,000
2021 $25,796,398,000 $240,229,000 $-94,016,000 $237,817,000 $342,272,000 $-337,523,000 $-209,218,000
2020 $25,906,733,000 $226,335,000 $24,100,000 $243,268,000 $154,488,000 $3,675,033,000 $1,330,041,000
2019 $21,886,040,000 $211,427,000 $-52,561,000 $285,265,000 $127,713,000 $837,737,000 $72,104,000
2018 $20,682,152,000 $195,488,000 $-12,905,000 $189,405,000 $296,820,000 $487,488,000 $43,591,000
2017 $20,036,905,000 $668,866,000 $497,113,000 $177,228,000 $258,826,000 $897,143,000 $-10,472,000