Recent Annual Filings for NBTB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $13,786,666,000 $165,710,000 $-13,748,000 $159,477,000 $188,567,000 $289,460,000 $78,867,000
2023 $13,309,040,000 $144,742,000 $-8,717,000 $147,882,000 $157,457,000 $-105,392,000 $7,839,000
2022 $11,739,296,000 $150,665,000 $-45,491,000 $-14,695,000 $183,223,000 $-328,728,000 $-1,071,721,000
2021 $12,012,111,000 $151,011,000 $-48,847,000 $131,124,000 $157,635,000 $984,813,000 $596,390,000
2020 $10,932,906,000 $140,921,000 $7,834,000 $123,831,000 $142,412,000 $1,023,151,000 $455,838,000
2019 $9,715,925,000 $134,455,000 $-20,977,000 $145,169,000 $153,463,000 $-53,232,000 $35,888,000
2018 $9,556,363,000 $126,012,000 $-10,990,000 $99,689,000 $147,773,000 $291,137,000 $21,291,000
2017 $9,136,812,000 $309,407,000 $181,246,000 $81,594,000 $136,904,000 $178,772,000 $10,483,000