Recent Annual Filings for UMBF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $50,409,664,000 $2,171,009,000 $1,629,736,000 $425,128,000 $225,286,000 $5,957,648,000 $2,920,433,000
2023 $44,011,674,000 $1,838,705,000 $1,417,103,000 $495,824,000 $472,604,000 $4,771,052,000 $3,970,384,000
2022 $38,512,461,000 $1,137,520,000 $605,509,000 $-397,367,000 $769,554,000 $-4,580,859,000 $-7,656,690,000
2021 $42,693,484,000 $861,522,000 $432,462,000 $160,992,000 $534,082,000 $9,418,406,000 $5,716,998,000
2020 $33,127,504,000 $808,489,000 $469,599,000 $521,662,000 $373,598,000 $5,945,885,000 $1,828,396,000
2019 $26,561,355,000 $862,892,000 $576,927,000 $422,562,000 $341,425,000 $2,654,053,000 $-4,951,000
2018 $23,351,119,000 $731,961,000 $508,367,000 $145,256,000 $297,097,000 $1,411,055,000 $-42,141,000
2017 $21,771,583,000 $616,912,000 $380,566,000 $259,122,000 $326,526,000 $804,347,000 $652,295,000