Recent Annual Filings for OCFC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $13,421,247,000 $642,173,000 $511,517,000 $105,399,000 $92,243,000 $-228,746,000 $-30,103,000
2023 $13,538,253,000 $607,974,000 $471,209,000 $119,185,000 $124,261,000 $349,468,000 $-14,268,000
2022 $13,103,896,000 $431,175,000 $237,253,000 $114,196,000 $250,450,000 $1,013,760,000 $-56,798,000
2021 $11,739,616,000 $342,092,000 $199,851,000 $106,634,000 $159,972,000 $223,993,000 $-1,093,877,000
2020 $11,448,313,000 $379,608,000 $298,566,000 $65,138,000 $132,656,000 $1,074,948,000 $1,185,435,000
2019 $8,246,145,000 $308,794,000 $201,436,000 $90,816,000 $100,247,000 $82,773,000 $10,898,000
2018 $7,516,154,000 $276,654,000 $191,152,000 $73,684,000 $92,551,000 $-128,389,000 $12,715,000
2017 $5,416,006,000 $188,829,000 $123,504,000 $42,870,000 $80,131,000 $183,332,000 $-191,760,000