Recent Annual Filings for SMBK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,275,904,000 $5,945,000 $-39,514,000 $38,377,000 $52,700,000 $402,821,000 $35,299,000
2023 $4,829,387,000 $5,105,000 $-31,121,000 $38,010,000 $39,716,000 $181,371,000 $85,847,000
2022 $4,637,498,000 $4,144,000 $-50,764,000 $6,255,000 $56,793,000 $5,372,000 $-778,653,000
2021 $4,611,579,000 $2,167,000 $-42,152,000 $34,050,000 $46,182,000 $782,169,000 $563,358,000
2020 $3,304,949,000 $1,566,000 $-29,324,000 $26,347,000 $29,069,000 $528,017,000 $297,748,000
2019 $2,449,123,000 $83,880,000 $50,435,000 $29,481,000 $29,866,000 $133,060,000 $68,149,000
2018 $2,274,409,335 $76,643,969 $55,308,151 $16,535,721 $20,823,966 $76,846,464 $2,795,575
2017 $1,720,770,682 $46,329,043 $34,885,188 $4,819,255 $6,642,301 $93,772,547 $44,278,576