Recent Annual Filings for CCNE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,192,010,000 $325,470,000 $258,111,000 $57,080,000 $71,512,000 $352,757,000 $220,989,000
2023 $5,752,957,000 $293,696,000 $221,867,000 $64,462,000 $47,023,000 $218,197,000 $115,761,000
2022 $5,475,179,000 $213,738,000 $135,524,000 $11,062,000 $64,053,000 $114,735,000 $-625,913,000
2021 $5,328,939,000 $179,600,000 $108,822,000 $42,239,000 $58,920,000 $550,344,000 $199,504,000
2020 $4,729,399,000 $167,167,000 $127,077,000 $40,878,000 $28,758,000 $479,642,000 $339,720,000
2019 $3,763,659,000 $155,728,000 $107,087,000 $51,016,000 $51,907,000 $464,105,000 $147,411,000
2018 $3,221,521,000 $131,870,000 $91,641,000 $30,066,000 $43,768,000 $418,038,000 $10,218,000
2017 $2,768,773,000 $108,874,000 $72,622,000 $23,875,000 $30,763,000 $179,050,000 $6,162,000