Recent Annual Filings for PNBK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,012,292,000 $52,362,000 $68,459,000 $-40,302,000 $2,683,000 $-41,620,000 $96,074,000
2023 $1,093,425,000 $58,957,000 $64,590,000 $-3,795,000 $-10,715,000 $65,934,000 $28,043,000
2022 $1,043,359,000 $44,012,000 $36,255,000 $-7,847,000 $7,036,000 $106,463,000 $-8,552,000
2021 $948,481,000 $32,351,000 $27,338,000 $3,975,000 $7,596,000 $60,018,000 $12,409,000
2020 $880,729,000 $37,903,000 $42,059,000 $-3,934,000 $6,281,000 $-93,973,000 $-4,768,000
2019 $979,836,000 $43,644,000 $47,360,000 $-2,394,000 $-11,915,000 $26,659,000 $-27,033,000
2018 $951,696,000 $40,375,000 $36,289,000 $2,525,000 $5,585,000 $39,318,000 $17,708,000
2017 $852,080,000 $32,849,000 $25,827,000 $4,112,000 $7,290,000 $90,000,000 $-43,048,000