Recent Annual Filings for UBSI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $30,023,545,000 $1,502,121,000 $1,037,542,000 $408,774,000 $445,454,000 $-323,638,000 $693,301,000
2023 $29,926,482,000 $1,401,320,000 $937,515,000 $439,364,000 $435,237,000 $-51,940,000 $422,291,000
2022 $29,489,380,000 $311,957,000 $-163,826,000 $51,783,000 $760,822,000 $105,316,000 $-2,581,518,000
2021 $29,328,902,000 $330,958,000 $-131,895,000 $340,480,000 $609,539,000 $923,909,000 $1,549,102,000
2020 $26,184,247,000 $263,249,000 $-96,491,000 $346,262,000 $140,447,000 $1,093,543,000 $1,371,575,000
2019 $19,662,324,000 $762,562,000 $438,123,000 $282,199,000 $147,694,000 $48,451,000 $-182,903,000
2018 $19,250,498,000 $717,715,000 $390,550,000 $247,837,000 $292,533,000 $-66,791,000 $-645,771,000
2017 $19,058,959,000 $623,806,000 $338,979,000 $153,273,000 $253,928,000 $-288,967,000 $231,640,000