Recent Annual Filings for INDB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $19,373,565,000 $852,753,000 $605,626,000 $216,901,000 $229,921,000 $-201,351,000 $-4,440,000
2023 $19,347,373,000 $795,726,000 $480,592,000 $287,759,000 $276,994,000 $-193,947,000 $-128,603,000
2022 $19,294,174,000 $642,840,000 $295,086,000 $98,546,000 $421,200,000 $-1,308,477,000 $-1,887,751,000
2021 $20,423,405,000 $415,276,000 $258,601,000 $82,480,000 $190,220,000 $816,964,000 $944,048,000
2020 $13,204,301,000 $402,069,000 $249,233,000 $143,693,000 $64,636,000 $1,569,237,000 $1,145,662,000
2019 $11,395,165,000 $447,014,000 $228,906,000 $184,517,000 $216,522,000 $-336,163,000 $-99,481,000
2018 $8,851,592,000 $323,701,000 $167,775,000 $123,508,000 $141,837,000 $283,013,000 $37,339,000
2017 $8,082,029,000 $277,194,000 $142,649,000 $86,710,000 $130,909,000 $109,881,000 $-75,979,000