Recent Annual Filings for MTB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $208,105,000,000 $1,541,000,000 $-1,769,000,000 $2,883,000,000 $3,610,000,000 $-2,882,000,000 $178,000,000
2023 $208,264,000,000 $9,643,000,000 $6,024,000,000 $3,072,000,000 $3,905,000,000 $4,180,000,000 $211,000,000
2022 $200,729,841,000 $8,178,559,000 $5,567,436,000 $1,329,211,000 $4,573,740,000 $-20,983,809,000 $182,667,000
2021 $155,107,160,000 $5,991,772,000 $3,536,623,000 $1,794,200,000 $2,714,959,000 $10,701,474,000 $-215,166,000
2020 $142,601,105,000 $5,954,761,000 $4,185,240,000 $1,496,800,000 $789,187,000 $21,347,732,000 $116,438,000
2019 $119,872,757,000 $6,191,943,000 $3,644,682,000 $2,142,550,000 $2,357,555,000 $-3,253,696,000 $-169,134,000
2018 $120,097,403,000 $5,928,302,000 $3,420,062,000 $1,878,666,000 $2,089,852,000 $-495,250,000 $184,551,000
2017 $118,593,487,000 $5,632,187,000 $3,308,325,000 $1,403,157,000 $2,781,935,000 $-6,076,521,000 $100,339,000