Recent Annual Filings for MVBF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,128,704,000 $185,842,000 $159,498,000 $20,845,000 $-285,000 $-224,494,000 $-80,316,000
2023 $3,313,882,000 $189,818,000 $162,524,000 $39,879,000 $58,233,000 $211,467,000 $357,949,000
2022 $3,068,850,000 $125,957,000 $107,442,000 $-19,711,000 $65,180,000 $296,617,000 $-267,157,000
2021 $2,792,449,000 $83,429,000 $34,851,000 $33,289,000 $34,815,000 $580,683,000 $43,544,000
2020 $2,331,476,000 $80,453,000 $33,510,000 $40,958,000 $112,235,000 $417,767,000 $235,891,000
2019 $1,944,114,000 $3,400,000 $-31,614,000 $32,476,000 $-8,062,000 $133,898,000 $5,781,000
2018 $1,750,969,000 $2,238,000 $-13,138,000 $8,929,000 $6,694,000 $205,199,000 $1,916,000
2017 $1,534,302,000 $56,598,000 $44,268,000 $8,864,000 $33,121,000 $105,944,000 $2,965,000