Recent Annual Filings for FNWB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,232,006,000 $112,340,000 $119,897,000 $-4,149,000 $16,876,000 $19,469,000 $-50,721,000
2023 $2,201,797,000 $100,899,000 $98,224,000 $10,033,000 $17,875,000 $143,892,000 $77,573,000
2022 $2,042,070,000 $80,378,000 $64,035,000 $-27,335,000 $15,902,000 $141,325,000 $-80,420,000
2021 $1,921,081,000 $63,671,000 $45,498,000 $9,825,000 $15,155,000 $182,570,000 $60,861,000
2020 $1,654,349,000 $176,000 $-13,118,000 $17,321,000 $11,840,000 $319,114,000 $16,416,000
2019 $1,307,336,000 $49,313,000 $38,222,000 $12,206,000 $14,097,000 $28,269,000 $22,416,000
2018 $1,258,758,000 $45,805,000 $37,125,000 $3,947,000 $13,337,000 $36,910,000 $-10,478,000
2017 $1,087,676,000 $36,804,000 $30,024,000 $2,789,000 $1,135,000 $80,782,000 $1,642,000