Recent Annual Filings for TBBK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $7,705,695,000 $509,507,000 $252,733,000 $202,585,000 $186,718,000 $-452,371,000 $149,901,000
2022 $7,903,000,000 $308,295,000 $130,381,000 $93,665,000 $120,982,000 $993,522,000 $286,405,000
2021 $6,843,239,000 $7,526,000 $-136,639,000 $99,236,000 $83,892,000 $478,279,000 $256,269,000
2020 $6,276,841,000 $210,782,000 $102,498,000 $91,745,000 $-512,178,000 $509,016,000 $-598,957,000
2019 $5,656,963,000 $179,569,000 $107,075,000 $71,774,000 $-493,083,000 $1,116,563,000 $390,170,000
2018 $4,437,911,000 $147,960,000 $28,179,000 $79,066,000 $-174,156,000 $-265,140,000 $-354,633,000
2017 $4,708,147,000 $122,020,000 $81,626,000 $22,141,000 $-34,068,000 $22,281,000 $-90,124,000
2016 $4,858,114,000 $102,219,000 $171,700,000 $-98,611,000 $-217,954,000 $160,807,000 $-156,103,000