Recent Annual Filings for HOMB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $22,656,658,000 $1,175,053,000 $663,170,000 $449,312,000 $379,670,000 $-682,706,000 $275,423,000
2022 $22,883,588,000 $877,766,000 $483,191,000 $-10,658,000 $413,172,000 $-2,314,427,000 $-2,925,525,000
2021 $18,052,138,000 $625,171,000 $208,396,000 $285,363,000 $389,380,000 $1,372,487,000 $2,386,527,000
2020 $16,398,804,000 $675,962,000 $398,259,000 $242,347,000 $291,728,000 $1,133,400,000 $773,187,000
2019 $15,032,047,000 $717,988,000 $332,367,000 $320,034,000 $247,415,000 $-636,409,000 $-167,338,000
2018 $15,302,438,000 $685,368,000 $289,848,000 $290,999,000 $302,219,000 $497,682,000 $22,006,000
2017 $14,449,760,000 $520,251,000 $249,168,000 $131,262,000 $176,910,000 $597,844,000 $419,284,000
2016 $9,808,465,000 $436,537,000 $153,891,000 $173,369,000 $218,044,000 $343,808,000 $-39,174,000