Recent Annual Filings for INBK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,737,859,000 $291,887,000 $264,345,000 $21,998,000 $12,992,000 $543,690,000 $60,512,000
2023 $5,167,572,000 $239,442,000 $234,502,000 $12,678,000 $11,680,000 $612,169,000 $149,346,000
2022 $4,543,104,000 $156,908,000 $116,808,000 $12,944,000 $82,723,000 $331,902,000 $-186,408,000
2021 $4,210,994,000 $133,883,000 $77,311,000 $54,271,000
2020 $4,246,156,000 $136,859,000 $102,961,000 $26,448,000 $13,068,000 $124,186,000 $92,445,000
2019 $4,100,083,000 $11,541,000 $-15,615,000 $27,589,000 $-43,577,000 $495,499,000 $138,649,000
2018 $3,541,692,000 $115,467,000 $91,515,000 $11,441,000 $29,356,000 $750,088,000 $140,731,000
2017 $2,767,687,000 $84,697,000 $61,769,000 $19,475,000 $24,624,000 $892,056,000 $8,529,000