Recent Annual Filings for RBB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,992,477,000 $5,293,000 $-30,386,000 $25,920,000 $58,495,000 $-71,736,000 $-173,628,000
2023 $4,026,025,000 $5,322,000 $-54,924,000 $44,618,000 $51,292,000 $53,224,000 $347,825,000
2022 $3,919,058,000 $5,579,000 $-85,766,000 $44,318,000 $93,812,000 $-444,465,000 $-610,824,000
2021 $4,228,194,000 $7,067,000 $-73,870,000 $54,121,000 $202,175,000 $801,724,000 $499,718,000
2020 $3,350,072,000 $4,481,000 $-42,978,000 $33,818,000 $124,514,000 $334,383,000 $12,891,000
2019 $2,788,535,000 $3,813,000 $-51,508,000 $40,786,000 $476,468,000 $-223,037,000 $34,078,000
2018 $2,974,002,000 $102,115,000 $55,909,000 $35,210,000 $-84,648,000 $404,675,000 $-2,363,000
2017 $1,691,059,000 $74,104,000 $27,307,000 $25,424,000 $28,783,000 $266,998,000 $31,335,000