Recent Annual Filings for FUSB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,101,086,000 $1,232,000 $-9,522,000 $10,257,000 $7,761,000 $19,523,000 $-3,063,000
2023 $1,072,940,000 $1,197,000 $-10,074,000 $9,295,000 $13,067,000 $67,506,000 $20,127,000
2022 $994,667,000 $41,197,000 $32,185,000 $-101,000 $12,529,000 $36,578,000 $-31,092,000
2021 $958,302,000 $39,921,000 $34,195,000 $4,227,000 $9,825,000 $65,319,000 $-33,171,000
2020 $890,511,000 $40,377,000 $36,845,000 $2,701,000 $6,094,000 $97,350,000 $37,385,000
2019 $788,738,000 $43,588,000 $37,776,000 $6,897,000 $11,315,000 $-13,605,000 $7,431,000
2018 $791,939,000 $37,138,000 $33,747,000 $981,000 $8,064,000 $11,709,000 $22,475,000
2017 $625,581,000 $31,100,000 $28,476,000 $134,000 $6,752,000 $19,465,000 $3,594,000