Recent Annual Filings for FMNB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,118,924,000 $269,448,000 $214,021,000 $25,238,000 $66,615,000 $10,590,000 $-17,920,000
2023 $5,078,350,000 $213,335,000 $154,637,000 $87,868,000 $62,306,000 $-112,135,000 $28,107,000
2022 $4,082,200,000 $142,086,000 $69,251,000 $-159,188,000 $83,685,000 $87,529,000 $-37,239,000
2021 $4,142,749,000 $116,459,000 $54,345,000 $39,107,000 $54,933,000 $226,849,000 $-141,831,000
2020 $3,071,148,000 $112,327,000 $62,055,000 $54,082,000 $50,008,000 $294,682,000 $183,861,000
2019 $2,449,158,000 $101,986,000 $58,911,000 $49,616,000 $38,761,000 $67,219,000 $12,834,000
2018 $2,328,864,000 $91,766,000 $53,483,000 $28,112,000 $39,989,000 $139,644,000 $312,000
2017 $2,159,069,000 $80,527,000 $47,747,000 $25,992,000 $30,566,000 $122,379,000 $15,836,000