Recent Annual Filings for TCBK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $9,910,089,000 $50,088,000 $-110,817,000 $158,126,000 $138,887,000 $-175,983,000 $-8,529,000
2022 $9,930,986,000 $49,765,000 $-124,142,000 $-69,467,000 $162,895,000 $-100,862,000 $-661,191,000
2021 $8,614,787,000 $43,948,000 $-119,755,000 $106,356,000 $132,207,000 $850,474,000 $98,870,000
2020 $7,639,529,000 $37,981,000 $-49,369,000 $82,316,000 $114,802,000 $1,094,575,000 $393,044,000
2019 $6,471,181,000 $40,417,000 $-86,405,000 $104,729,000 $102,806,000 $-24,043,000 $48,974,000
2018 $6,352,441,000 $38,460,000 $-54,892,000 $56,700,000 $91,069,000 $73,039,000 $22,105,000
2017 $4,761,315,000 $181,402,000 $103,890,000 $43,239,000 $55,381,000 $201,880,000 $-100,184,000
2016 $4,517,968,000 $173,708,000 $101,185,000 $38,676,000 $48,226,000 $93,316,000 $2,151,000