Recent Annual Filings for OPBK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,366,013,000 $3,261,000 $-25,818,000 $21,107,000 $31,344,000 $199,804,000 $43,727,000
2023 $2,147,730,000 $2,123,000 $-31,368,000 $26,310,000 $67,842,000 $16,374,000 $8,244,000
2022 $2,094,497,000 $1,675,000 $-45,049,000 $16,664,000 $83,734,000 $345,556,000 $-32,487,000
2021 $1,726,691,000 $1,562,000 $-39,094,000 $26,803,000 $-28,278,000 $323,471,000 $9,149,000
2020 $1,366,826,000 $1,132,000 $-17,102,000 $13,779,000 $-4,956,000 $172,393,000 $20,369,000
2019 $1,179,520,000 $2,015,000 $-20,061,000 $17,493,000 $18,163,000 $107,556,000 $8,310,000
2018 $1,044,186,000 $1,916,000 $-17,541,000 $14,055,000 $30,605,000 $130,153,000 $14,476,000