Recent Annual Filings for QCRH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,026,030,000 $481,857,000 $359,280,000 $110,168,000 $444,538,000 $395,302,000 $-5,391,000
2023 $8,538,894,000 $546,094,000 $419,474,000 $122,497,000 $376,323,000 $410,346,000 $37,400,000
2022 $7,948,837,000 $373,300,000 $259,751,000 $32,616,000 $118,699,000 $538,226,000 $22,233,000
2021 $6,096,132,000 $300,577,000 $179,110,000 $99,081,000 $88,218,000 $299,714,000 $-23,839,000
2020 $5,682,797,000 $312,171,000 $238,882,000 $63,056,000 $112,177,000 $577,380,000 $-14,925,000
2019 $4,909,050,000 $294,844,000 $222,817,000 $61,854,000 $76,494,000 $222,901,000 $-9,269,000
2018 $4,949,710,195 $224,420,336 $172,285,525 $39,914,200 $64,270,748 $279,178,544 $9,801,022
2017 $3,982,664,773 $165,999,610 $125,346,653 $36,798,660 $33,713,281 $381,955,146 $5,151,670