Recent Annual Filings for VLY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $62,491,691,000 $3,357,497,000 $2,918,978,000 $371,393,000 $548,540,000 $1,159,644,000 $998,900,000
2023 $60,934,974,000 $3,138,891,000 $2,460,559,000 $516,057,000 $378,192,000 $2,914,588,000 $-56,722,000
2022 $57,462,749,000 $1,976,683,000 $1,196,016,000 $422,781,000 $1,428,479,000 $4,257,329,000 $-1,101,973,000
2021 $43,446,443,000 $1,334,226,000 $693,487,000 $463,626,000 $837,142,000 $964,354,000 $720,715,000
2020 $40,686,076,000 $1,383,719,000 $853,653,000 $415,102,000 $151,525,000 $2,780,655,000 $894,518,000
2019 $37,436,020,000 $1,321,000,000 $864,205,000 $347,010,000 $1,463,950,000 $673,449,000 $6,058,000
2018 $31,863,088,000 $1,159,248,000 $829,555,000 $238,543,000 $593,589,000 $2,548,481,000 $12,519,000
2017 $24,002,306,000 $842,419,000 $589,681,000 $165,922,000 $619,230,000 $951,927,000 $23,609,000