Recent Annual Filings for TCBX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,942,446,000 $160,758,000 $99,407,000 $51,246,000 $35,136,000 $495,150,000 $9,357,000
2023 $4,396,074,000 $139,525,000 $97,913,000 $36,437,000 $39,075,000 $570,291,000 $79,831,000
2022 $3,773,148,000 $116,454,000 $93,286,000 $15,163,000 $21,791,000 $1,222,728,000 $4,989,000
2021 $2,499,412,000 $90,553,000 $76,070,000 $12,538,000 $4,584,000 $618,943,000 $123,465,000