Recent Annual Filings for MBWM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $5,353,224,000 $271,358,000 $168,659,000 $97,071,000 $66,613,000 $363,080,000 $33,761,000
2022 $4,872,619,000 $181,839,000 $106,049,000 $-549,000 $119,862,000 $-443,251,000 $-878,388,000
2021 $5,257,749,000 $143,494,000 $69,778,000 $49,806,000 $64,573,000 $780,088,000 $349,154,000
2020 $4,437,344,000 $148,313,000 $93,465,000 $45,929,000 $37,877,000 $753,204,000 $392,275,000
2019 $3,632,915,000 $158,337,000 $97,877,000 $61,390,000 $44,767,000 $206,448,000 $158,377,000
2018 $3,363,907,000 $141,981,000 $90,159,000 $38,646,000 $61,737,000 $23,996,000 $-124,747,000
2017 $3,286,704,000 $125,543,000 $79,460,000 $32,821,000 $38,665,000 $169,312,000 $16,505,000
2016 $3,082,571,000 $118,457,000 $71,570,000 $25,069,000 $34,602,000 $155,664,000 $93,705,000