Recent Annual Filings for FBNC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,147,694,000 $70,123,000 $-27,994,000 $102,216,000 $174,781,000 $-74,795,000 $269,652,000
2023 $12,114,942,000 $32,816,000 $-99,140,000 $138,076,000 $131,396,000 $27,506,000 $-32,463,000
2022 $10,625,049,000 $340,957,000 $155,738,000 $-170,069,000 $230,654,000 $291,861,000 $-190,844,000
2021 $10,508,901,000 $255,918,000 $135,599,000 $56,324,000 $138,901,000 $1,225,414,000 $93,872,000
2020 $7,289,751,000 $237,684,000 $134,553,000 $90,704,000 $57,075,000 $1,039,194,000 $135,988,000
2019 $6,143,639,000 $250,107,000 $133,831,000 $109,130,000 $51,238,000 $141,852,000 $-231,596,000
2018 $5,864,116,000 $231,207,000 $117,729,000 $81,474,000 $46,410,000 $240,277,000 $-26,592,000
2017 $5,547,037,000 $177,382,000 $109,643,000 $47,669,000 $26,838,000 $285,191,000 $183,497,000