Recent Annual Filings for UNB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,528,358,000 $67,954,000 $6,719,000 $12,151,000 $50,847,000 $-61,828,000
2023 $1,468,879,000 $57,110,000 $16,721,000 $9,191,000 $112,842,000 $39,781,000
2022 $1,336,489,000 $43,948,000 $-23,252,000 $29,031,000 $150,515,000 $-28,037,000
2021 $1,205,373,000 $39,273,000 $8,982,000 $29,190,000 $103,969,000 $-56,849,000
2020 $1,093,554,000 $36,750,000 $21,526,000 $14,455,000 $-7,062,000 $204,608,000 $71,637,000
2019 $872,912,000 $36,002,000 $23,524,000 $12,657,000 $11,776,000 $51,130,000 $13,845,000
2018 $805,337,000 $32,180,000 $23,921,000 $11,145,000 $16,761,000 $50,001,000 $-1,219,000
2017 $745,831,000 $29,017,000 $16,965,000 $7,470,000 $9,868,000 $44,708,000 $-767,000