Recent Annual Filings for OSBC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,649,377,000 $297,904,000 $184,948,000 $100,297,000 $131,533,000 $-455,050,000 $-816,000
2023 $5,722,799,000 $291,970,000 $167,562,000 $122,072,000 $116,401,000 $-292,988,000 $-15,032,000
2022 $5,888,317,000 $216,473,000 $124,924,000 $-34,487,000 $97,344,000 $-301,496,000 $-636,930,000
2021 $6,212,189,000 $105,215,000 $77,348,000 $14,050,000 $31,047,000 $258,239,000 $422,204,000
2020 $3,040,837,000 $104,215,000 $66,807,000 $38,025,000 $25,987,000 $357,092,000 $279,271,000
2019 $2,635,545,000 $115,594,000 $63,737,000 $48,096,000 $52,637,000 $-99,452,000 $-4,603,000
2018 $2,676,003,000 $107,617,000 $63,681,000 $28,135,000 $54,907,000 $-29,664,000 $-598,000
2017 $2,383,429,000 $87,505,000 $53,203,000 $25,379,000 $37,105,000 $103,881,000 $8,499,000