Recent Annual Filings for GBCI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $27,902,987,000 $94,011,000 $-132,293,000 $254,961,000 $258,037,000 $-1,257,112,000 $-505,934,000
2023 $27,742,629,000 $88,547,000 $-179,061,000 $317,606,000 $500,715,000 $659,124,000 $952,347,000
2022 $26,635,375,000 $82,850,000 $-287,430,000 $-192,949,000 $470,660,000 $845,431,000 $-35,691,000
2021 $25,940,645,000 $65,194,000 $-284,244,000 $169,026,000 $572,049,000 $3,139,196,000 $-195,456,000
2020 $18,504,206,000 $54,520,000 $-273,520,000 $369,264,000 $189,545,000 $3,676,332,000 $302,181,000
2019 $13,683,999,000 $69,877,000 $-189,317,000 $260,197,000 $226,649,000 $-56,796,000 $127,171,000
2018 $12,115,484,000 $76,664,000 $-145,545,000 $174,430,000 $280,711,000 $595,495,000 $3,786,000
2017 $9,706,349,000 $375,022,000 $194,020,000 $122,131,000 $254,741,000 $-230,933,000 $47,463,000