Recent Annual Filings for NWFL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,317,462,000 $7,399,000 $7,657,000 $14,067,000 $22,807,000 $98,617,000 $6,219,000
2023 $2,201,079,000 $7,136,000 $-14,010,000 $26,764,000 $29,824,000 $120,998,000 $34,254,000
2022 $2,047,070,000 $8,761,000 $-27,624,000 $-27,864,000 $30,734,000 $2,445,000 $-174,815,000
2021 $2,068,504,000 $6,985,000 $-23,875,000 $19,540,000 $29,198,000 $196,754,000 $94,988,000
2020 $1,851,864,000 $6,209,000 $-12,157,000 $19,012,000 $13,797,000 $143,838,000 $96,278,000
2019 $1,230,610,000 $5,448,000 $-11,375,000 $20,422,000 $18,438,000 $18,409,000 $-2,933,000
2018 $1,184,559,000 $5,663,000 $-10,541,000 $11,298,000 $17,298,000 $39,191,000 $1,651,000
2017 $1,132,916,000 $38,988,000 $24,239,000 $10,084,000 $16,051,000 $12,065,000 $-477,000