Recent Annual Filings for NFBK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $5,598,396,000 $5,479,000 $-46,281,000 $53,558,000 $46,970,000 $-57,132,000 $183,707,000
2022 $5,601,293,000 $5,705,000 $-79,154,000 $10,725,000 $83,331,000 $151,613,000 $-45,269,000
2021 $5,430,542,000 $5,394,000 $-91,733,000 $59,557,000 $64,759,000 $-146,230,000 $3,524,000
2020 $5,514,544,000 $3,967,000 $-46,058,000 $45,449,000 $55,214,000 $16,437,000 $-60,274,000
2019 $5,055,302,000 $4,881,000 $-48,141,000 $54,081,000 $51,152,000 $541,629,000 $70,056,000
2018 $4,408,432,000 $147,292,000 $97,581,000 $36,383,000 $52,789,000 $373,494,000 $19,923,000
2017 $3,991,417,000 $132,869,000 $81,123,000 $24,541,000 $43,624,000 $108,656,000 $-38,246,000
2016 $3,850,094,000 $124,972,000 $85,177,000 $24,784,000 $37,701,000 $104,145,000 $44,232,000