Recent Annual Filings for MSBI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $7,866,868,000 $236,017,000 $128,444,000 $82,504,000 $154,638,000 $-104,128,000 $-25,570,000
2022 $7,855,501,000 $245,735,000 $115,897,000 $9,991,000 $236,755,000 $332,082,000 $-530,050,000
2021 $7,443,805,000 $207,675,000 $108,563,000 $75,123,000 $334,438,000 $482,788,000 $338,731,000
2020 $6,868,540,000 $199,136,000 $167,122,000 $26,526,000 $499,147,000 $760,421,000 $-52,865,000
2019 $6,087,017,000 $189,815,000 $117,344,000 $65,334,000 $119,406,000 $6,940,000 $180,805,000
2018 $5,637,673,000 $180,087,000 $129,282,000 $35,555,000 $97,060,000 $-91,901,000 $-1,502,000
2017 $4,412,701,000 $129,662,000 $103,191,000 $18,424,000 $70,456,000 $188,644,000 $24,486,000
2016 $3,233,723,000 $105,254,000 $54,832,000 $24,894,000 $25,543,000 $313,048,000 $-21,759,000