Recent Annual Filings for ACNB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,394,830,000 $132,195,000 $91,776,000 $35,087,000 $39,782,000 $-60,906,000 $-18,696,000
2023 $2,418,847,000 $96,640,000 $56,791,000 $44,791,000 $40,602,000 $-158,242,000 $-102,203,000
2022 $2,525,507,000 $87,049,000 $42,098,000 $-12,715,000 $39,201,000 $-249,448,000 $-541,970,000
2021 $2,786,987,000 $78,159,000 $43,140,000 $23,927,000 $42,126,000 $208,132,000 $310,779,000
2020 $2,555,362,000 $85,290,000 $18,609,000 $25,470,000 $374,374,000 $284,996,000
2019 $1,720,253,000 $69,558,000 $27,085,000 $25,723,000 $39,707,000 $73,451,000
2018 $1,647,724,000 $64,494,000 $19,623,000 $29,544,000 $30,536,000 $6,464,000
2017 $1,595,432,000 $51,785,000 $9,903,000 $17,007,000 $50,456,000 $15,510,000