Recent Annual Filings for HBNC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,801,146,000 $356,483,000 $329,133,000 $65,737,000 $6,368,000 $-186,676,000 $-233,084,000
2023 $7,940,485,000 $312,305,000 $273,306,000 $67,570,000 $88,936,000 $-15,444,000 $403,010,000
2022 $7,872,518,000 $236,033,000 $130,449,000 $-20,135,000 $94,380,000 $455,549,000 $-470,003,000
2021 $7,374,903,000 $199,995,000 $97,548,000 $66,584,000 $105,348,000 $601,525,000 $343,797,000
2020 $5,886,614,000 $205,378,000 $127,009,000 $89,919,000 $78,765,000 $564,437,000 $150,880,000
2019 $5,246,829,000 $208,332,000 $128,491,000 $81,114,000 $174,952,000 $-39,888,000 $40,339,000
2018 $4,246,688,000 $166,168,000 $102,608,000 $49,290,000 $72,440,000 $229,988,000 $-1,488,000
2017 $3,964,303,000 $128,483,000 $80,530,000 $35,210,000 $49,064,000 $236,419,000 $5,609,000