Recent Annual Filings for CNOB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,879,600,000 $517,889,000 $419,422,000 $61,056,000 $60,700,000 $-2,077,000 $113,774,000
2023 $9,855,603,000 $490,065,000 $373,107,000 $84,258,000 $92,891,000 $129,546,000 $-25,601,000
2022 $9,644,948,000 $373,746,000 $202,522,000 $94,251,000 $176,777,000 $1,369,234,000 $2,779,000
2021 $8,129,480,000 $301,738,000 $126,680,000 $126,152,000 $202,273,000 $449,367,000 $-38,220,000
2020 $7,547,339,000 $308,200,000 $217,810,000 $75,233,000 $81,125,000 $344,513,000 $102,273,000
2019 $6,174,032,000 $271,484,000 $177,458,000 $81,037,000 $60,688,000 $70,896,000 $29,117,000
2018 $5,462,092,000 $216,133,000 $144,999,000 $56,236,000 $89,060,000 $290,938,000 $22,784,000
2017 $5,108,442,000 $181,324,000 $112,810,000 $42,047,000 $131,133,000 $635,777,000 $-50,817,000