Recent Annual Filings for USCB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,581,216,000 $131,233,000 $98,756,000 $24,411,000 $34,090,000 $213,744,000 $35,973,000
2023 $2,339,093,000 $101,017,000 $79,221,000 $17,025,000 $22,546,000 $237,350,000 $-13,106,000
2022 $2,085,834,000 $71,100,000 $44,015,000 $-22,094,000 $29,537,000 $249,004,000 $7,940,000
2021 $1,853,939,000 $56,722,000 $29,045,000 $13,780,000 $22,051,000 $335,806,000 $-1,506,000