Recent Annual Filings for PEBK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,651,962,000 $80,733,000 $59,804,000 $16,561,000 $20,558,000 $-1,043,000 $-23,109,000
2023 $1,635,910,000 $71,862,000 $2,400,000 $23,778,000 $22,780,000 $-11,248,000 $10,779,000
2022 $1,620,927,000 $54,431,000 $34,136,000 $-31,570,000 $22,657,000 $27,416,000 $-205,903,000
2021 $1,624,193,000 $47,179,000 $28,250,000 $15,133,000 $26,900,000 $195,157,000 $115,919,000
2020 $1,414,855,000 $47,958,000 $34,112,000 $13,113,000 $9,162,000 $249,003,000 $109,193,000
2019 $1,154,882,000 $49,601,000 $32,398,000 $16,725,000 $13,197,000 $44,001,000 $9,017,000
2018 $1,093,251,000 $45,350,000 $29,344,000 $10,775,000 $17,187,000 $-12,534,000 $-13,934,000
2017 $1,092,166,000 $41,949,000 $27,734,000 $10,267,000 $18,594,000 $-7,278,000 $-12,790,000