Recent Annual Filings for MOFG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,236,329,000 $294,274,000 $378,262,000 $-68,152,000 $63,184,000 $-252,319,000 $123,168,000
2023 $6,427,540,000 $249,613,000 $224,780,000 $45,007,000 $62,570,000 $-197,006,000 $-4,708,000
2022 $6,577,876,000 $196,759,000 $120,162,000 $-19,347,000 $90,328,000 $65,546,000 $-117,395,000
2021 $6,025,128,000 $176,766,000 $87,288,000 $36,029,000 $111,554,000 $437,935,000 $121,171,000
2020 $5,556,648,000 $184,787,000 $171,465,000 $26,843,000 $9,159,000 $867,457,000 $9,175,000
2019 $4,653,573,000 $182,441,000 $132,238,000 $53,663,000 $47,314,000 $-92,055,000 $28,004,000
2018 $3,291,480,000 $128,824,000 $90,856,000 $27,349,000 $42,759,000 $46,191,000 $-5,492,000
2017 $3,212,271,000 $119,320,000 $90,245,000 $17,695,000 $40,980,000 $115,514,000 $7,744,000