Recent Annual Filings for IBCP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,338,104,000 $31,979,000 $-51,067,000 $68,988,000 $63,151,000 $5,109,000 $-49,899,000
2023 $5,263,726,000 $32,903,000 $-40,773,000 $79,688,000 $75,589,000 $182,766,000 $95,410,000
2022 $4,999,787,000 $31,643,000 $-46,145,000 $-29,913,000 $94,632,000 $294,858,000 $-35,102,000
2021 $4,704,740,000 $29,098,000 $-48,215,000 $53,372,000 $110,154,000 $443,678,000 $-9,232,000
2020 $4,204,013,000 $24,026,000 $-45,455,000 $69,962,000 $58,173,000 $548,625,000 $53,401,000
2019 $3,564,694,000 $25,953,000 $-31,807,000 $52,757,000 $33,980,000 $142,722,000 $-4,940,000
2018 $3,353,281,000 $27,126,000 $-22,007,000 $35,730,000 $44,921,000 $153,952,000 $15,506,000
2017 $2,789,355,000 $98,309,000 $59,871,000 $23,320,000 $38,607,000 $210,515,000 $-28,456,000