Recent Annual Filings for OVBC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,503,412,000 $75,763,000 $62,387,000 $11,943,000 $13,097,000 $137,067,000 $-45,019,000
2023 $1,352,135,000 $61,865,000 $46,667,000 $16,016,000 $20,747,000 $121,176,000 $82,136,000
2022 $1,210,787,000 $47,616,000 $31,684,000 $-2,183,000 $15,990,000 $-38,642,000 $-106,044,000
2021 $1,249,769,000 $44,712,000 $30,696,000 $10,004,000 $13,137,000 $52,948,000 $13,731,000
2020 $1,186,932,000 $46,173,000 $33,866,000 $12,167,000 $12,491,000 $162,141,000 $85,947,000
2019 $1,013,272,000 $50,317,000 $38,597,000 $12,570,000 $14,753,000 $-33,494,000 $-18,824,000
2018 $1,030,493,000 $49,197,000 $34,998,000 $10,860,000 $18,141,000 $-8,808,000 $-3,393,000
2017 $1,026,290,000 $45,708,000 $33,713,000 $7,622,000 $14,496,000 $62,091,000 $34,407,000