Recent Annual Filings for PBHC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,474,874,000 $78,357,000 $73,197,000 $5,289,000 $11,209,000 $-5,971,000 $-17,160,000
2023 $1,465,798,000 $67,663,000 $55,879,000 $11,989,000 $15,432,000 $52,806,000 $13,450,000
2022 $1,399,921,000 $51,098,000 $35,409,000 $2,129,000 $21,733,000 $107,560,000 $-1,867,000
2021 $1,285,177,000 $45,827,000 $29,818,000 $13,478,000 $20,154,000 $43,482,000 $-6,315,000
2020 $1,227,443,000 $42,507,000 $34,166,000 $7,781,000 $46,561,000 $125,966,000 $23,304,000
2019 $1,093,807,000 $41,758,000 $36,307,000 $7,357,000 $8,120,000 $148,535,000 $-6,156,000
2018 $933,115,000 $34,810,000 $30,255,000 $1,869,000 $8,982,000 $47,368,000 $4,325,000
2017 $881,257,000 $29,413,000 $25,068,000 $3,827,000 $6,842,000 $126,673,000 $-428,000