Recent Annual Filings for FXNC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,010,281,000 $14,182,000 $6,134,000 $6,980,000 $-22,204,000 $-38,909,000 $75,713,000
2023 $1,419,295,000 $10,238,000 $-1,567,000 $13,389,000 $16,390,000 $38,202,000 $20,247,000
2022 $1,369,383,000 $10,069,000 $-10,680,000 $-5,972,000 $26,772,000 $-15,724,000 $-109,092,000
2021 $1,389,437,000 $9,019,000 $-3,926,000 $7,259,000 $7,868,000 $167,145,000 $48,709,000
2020 $950,932,000 $7,533,000 $-3,374,000 $11,532,000 $15,091,000 $136,907,000 $81,512,000
2019 $800,048,000 $7,810,000 $-3,984,000 $12,088,000 $11,851,000 $34,210,000 $17,167,000