Recent Annual Filings for ONB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $53,552,272,000 $2,601,651,000 $1,921,213,000 $531,954,000 $622,284,000 $802,594,000 $52,910,000
2023 $49,089,836,000 $2,206,821,000 $1,455,519,000 $629,605,000 $516,342,000 $1,749,180,000 $446,646,000
2022 $46,763,372,000 $1,454,202,000 $909,469,000 $-355,760,000 $814,425,000 $777,475,000 $-93,607,000
2021 $24,453,564,000 $125,616,000 $-213,246,000 $127,392,000 $330,380,000 $1,333,510,000 $232,307,000
2020 $22,960,622,000 $118,433,000 $-137,123,000 $317,973,000 $219,820,000 $2,235,007,000 $313,375,000
2019 $20,411,667,000 $130,804,000 $-159,552,000 $339,363,000 $233,756,000 $250,820,000 $-40,828,000
2018 $19,728,435,000 $127,364,000 $-81,316,000 $206,955,000 $234,407,000 $63,742,000 $26,733,000
2017 $17,518,292,000 $495,336,000 $326,672,000 $104,825,000 $290,659,000 $321,229,000 $34,913,000