Recent Annual Filings for FVCB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,198,950,000 $1,564,000 $-20,733,000 $15,958,000 $18,232,000 $-9,194,000 $119,000
2023 $2,190,558,000 $1,474,000 $-2,758,000 $16,229,000 $16,269,000 $-164,706,000 $789,000
2022 $2,344,322,000 $1,432,000 $-29,557,000 $-9,540,000 $22,392,000 $186,079,000 $-17,360,000
2021 $2,202,924,000 $68,428,000 $40,219,000 $18,064,000 $19,445,000 $328,671,000 $3,778,000
2020 $1,821,481,000 $67,103,000 $47,446,000 $16,637,000 $20,429,000 $259,356,000 $5,919,000
2019 $1,537,295,000 $66,734,000 $46,722,000 $18,929,000 $20,401,000 $149,681,000 $5,481,000
2018 $1,351,576,000 $51,924,000 $38,817,000 $10,151,000 $13,341,000 $102,927,000 $2,007,000