Recent Annual Filings for LCNB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,307,394,000 $105,015,000 $89,054,000 $16,639,000 $93,236,000 $-158,609,000 $-3,979,000
2023 $2,291,592,000 $79,599,000 $64,339,000 $20,246,000 $20,702,000 $54,073,000 $17,022,000
2022 $1,919,121,000 $65,753,000 $38,807,000 $-6,017,000 $25,242,000 $24,235,000 $4,565,000
2021 $1,903,629,000 $61,177,000 $35,592,000 $15,122,000 $17,821,000 $143,804,000 $-13,594,000
2020 $1,745,884,000 $63,780,000 $39,620,000 $23,445,000 $13,678,000 $77,338,000 $10,965,000
2019 $1,639,308,000 $65,194,000 $42,169,000 $24,304,000 $21,968,000 $-30,299,000 $725,000
2018 $1,636,927,000 $54,594,000 $36,800,000 $12,993,000 $19,742,000 $-14,300,000 $-5,346,000
2017 $1,295,638,000 $44,463,000 $27,219,000 $13,247,000