Recent Annual Filings for IBOC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $15,738,852,000 $865,982,000 $357,262,000 $428,002,000 $473,948,000 $212,709,000 $-298,406,000
2023 $15,066,189,000 $800,162,000 $276,650,000 $484,376,000 $474,432,000 $-843,892,000 $-1,436,666,000
2022 $15,501,476,000 $525,781,000 $143,142,000 $-138,285,000 $387,941,000 $-517,431,000 $-1,121,518,000
2021 $16,046,236,000 $398,103,000 $75,776,000 $201,117,000 $291,681,000 $1,836,212,000 $1,212,004,000
2020 $14,029,467,000 $427,008,000 $215,250,000 $185,799,000 $305,133,000 $1,778,990,000 $1,740,418,000
2019 $12,112,894,000 $492,401,000 $232,447,000 $262,083,000 $311,565,000 $-53,484,000 $-59,977,000
2018 $11,871,952,000 $465,822,000 $193,239,000 $189,694,000 $229,847,000 $-557,847,000 $51,440,000
2017 $12,184,698,000 $415,136,000 $193,494,000 $155,736,000 $196,819,000 $203,147,000 $-3,841,000