Recent Annual Filings for WTFC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $64,879,668,000 $250,742,000 $-696,347,000 $547,941,000 $721,557,000 $5,259,878,000 $35,072,000
2023 $56,259,934,000 $220,443,000 $-624,638,000 $689,031,000 $744,376,000 $2,425,938,000 $-67,502,000
2022 $52,949,649,000 $217,719,000 $-482,836,000 $77,954,000 $1,375,000,000 $2,195,530,000 $79,761,000
2021 $50,142,143,000 $207,172,000 $-430,624,000 $454,861,000 $1,130,872,000 $4,886,718,000 $88,731,000
2020 $45,080,768,000 $170,130,000 $-219,651,000 $343,050,000 $-518,465,000 $7,736,887,000 $35,998,000
2019 $36,620,583,000 $161,465,000 $-318,636,000 $397,891,000 $265,993,000 $3,647,232,000 $-105,724,000
2018 $31,244,849,000 $1,170,810,000 $710,677,000 $312,983,000 $377,182,000 $2,500,925,000 $114,609,000
2017 $27,915,970,000 $946,468,000 $556,471,000 $281,175,000 $401,041,000 $1,910,249,000 $7,546,000