Recent Annual Filings for FNLC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,157,010,000 $148,832,000 $116,248,000 $23,799,000 $26,047,000 $187,067,000 $-4,306,000
2023 $2,946,698,000 $128,174,000 $92,472,000 $34,455,000 $36,919,000 $172,103,000 $9,214,000
2022 $2,739,178,000 $93,035,000 $45,649,000 $-3,275,000 $41,213,000 $208,461,000 $2,094,000
2021 $2,527,099,000 $77,081,000 $33,168,000 $34,597,000 $56,693,000 $139,478,000 $-5,578,000
2020 $2,361,236,000 $77,119,000 $44,869,000 $23,505,000 $22,698,000 $239,152,000 $11,779,000
2019 $2,068,796,000 $78,651,000 $48,391,000 $32,894,000 $26,053,000 $85,526,000 $-4,701,000
2018 $1,944,570,000 $70,543,000 $42,701,000 $21,441,000 $33,840,000 $78,164,000 $-73,000
2017 $1,842,930,000 $60,832,000 $34,632,000 $18,210,000 $22,526,000 $109,628,000 $1,841,000