Recent Annual Filings for OFG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $11,344,453,000 $208,268,000 $295,657,000 $1,306,797,000 $197,709,000
2022 $9,818,780,000 $67,670,000 $164,456,000 $-124,705,000 $-1,473,186,000
2021 $9,899,720,000 $140,289,000 $100,044,000 $-49,037,000 $-131,927,000
2020 $9,826,011,000 $473,347,000 $378,521,000 $86,357,000 $-88,621,000 $510,359,000 $1,302,820,000
2019 $9,297,661,000 $373,795,000 $298,545,000 $63,796,000 $109,617,000 $-549,096,000 $402,694,000
2018 $6,583,352,000 $360,419,000 $227,619,000 $76,396,000 $133,355,000 $317,242,000 $-38,170,000
2017 $6,189,053,000 $345,647,000 $277,558,000 $48,101,000 $151,440,000 $-363,980,000 $-25,236,000
2016 $6,501,824,000 $356,592,000 $271,412,000 $46,785,000 $78,512,000 $-672,843,000 $-26,270,000