Recent Annual Filings for NBHC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,807,693,000 $45,789,000 $-99,458,000 $125,175,000 $155,271,000 $-284,408,000 $-64,478,000
2023 $9,951,064,000 $46,904,000 $-128,698,000 $153,851,000 $166,935,000 $230,903,000 $-6,193,000
2022 $9,573,243,000 $38,302,000 $-47,882,000 $-9,967,000 $214,634,000 $-114,198,000 $-651,701,000
2021 $7,214,011,000 $200,965,000 $85,994,000 $76,877,000 $179,502,000 $528,989,000 $234,655,000
2020 $6,659,950,000 $218,002,000 $108,605,000 $96,295,000 $-9,868,000 $654,178,000 $495,375,000
2019 $5,895,512,000 $242,601,000 $146,407,000 $93,702,000 $42,476,000 $71,443,000 $634,000
2018 $5,676,666,000 $221,391,000 $147,710,000 $57,897,000 $73,574,000 $-109,365,000 $-137,808,000
2017 $4,843,465,000 $164,421,000 $128,559,000 $10,099,000 $58,139,000 $225,006,000 $104,628,000