Recent Annual Filings for SHBI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,230,763,000 $20,910,000 $-37,794,000 $43,838,000 $46,887,000 $175,092,000 $87,438,000
2023 $6,010,918,000 $18,335,000 $4,151,000 $12,755,000 $22,713,000 $121,888,000 $316,914,000
2022 $3,477,276,000 $15,340,000 $-26,801,000 $22,100,000 $52,647,000 $811,000 $-528,114,000
2021 $3,460,136,000 $11,007,000 $-10,173,000 $13,895,000 $-7,503,000 $366,006,000 $396,696,000
2020 $1,933,315,000 $9,206,000 $-11,841,000 $17,052,000 $18,430,000 $353,596,000 $91,946,000
2019 $1,559,235,000 $9,464,000 $-12,430,000 $19,355,000 $13,743,000 $59,681,000 $27,746,000
2018 $1,483,076,000 $55,907,000 $34,764,000 $23,350,000 $18,296,000 $59,564,000 $35,405,000
2017 $1,393,860,000 $47,801,000 $28,016,000 $11,172,000 $17,436,000 $8,663,000 $-44,118,000