Recent Annual Filings for CTBI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,193,245,000 $313,443,000 $206,757,000 $87,765,000 $105,172,000 $328,606,000 $98,105,000
2023 $5,769,696,000 $268,650,000 $170,082,000 $103,835,000 $85,732,000 $283,581,000 $142,714,000
2022 $5,380,316,000 $197,742,000 $96,700,000 $-42,490,000 $99,684,000 $-2,747,000 $-183,070,000
2021 $5,418,257,000 $178,169,000 $67,526,000 $69,523,000 $115,695,000 $216,446,000 $-26,479,000
2020 $5,139,141,000 $176,441,000 $106,176,000 $68,819,000 $62,379,000 $704,699,000 $73,552,000
2019 $4,366,003,000 $185,398,000 $113,406,000 $75,404,000 $83,458,000 $74,266,000 $123,233,000
2018 $4,201,616,000 $171,450,000 $100,908,000 $55,616,000 $65,487,000 $1,279,000 $-33,824,000
2017 $4,136,231,000 $155,696,000 $87,185,000 $50,291,000 $62,351,000 $154,793,000 $30,558,000