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Balance Sheet - ACNB CORP (ACNB)

$(Billion, Million)
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total cash and short-term investments + 23.68 64.85 517.65 721.72 1,147.23 737.07 305.19 202.64 193.49 161.92 144.45 137.67 148.10 217.18 231.85 214.90 237.66 0.63 0.18 0.31
Inventories 0.47 0.36 0.16 0.44 0.26 0.58 3.24 2.26 10.93 4.77 10.93 6.19 1.59 1.31 0.60
Other current assets 65.94 66.43 172.03 711.22 399.35 114.72 1,201.99 1,146.69 817.79 777.51 731.77 644.76 587.58 735.33 715.82 688.35
Total current assets 20.61 64.85 517.65 721.72 1,147.23 737.07 305.19 202.64 1,340.18 979.71 921.96 869.44 148.10 804.76 231.85 24.17 24.14 16.93 19.21 20.66
Total non-current assets + 3,207.52 2,329.98 1,901.20 706.11 529.87 437.09 1,415.06 1,445.09 255.25 226.61 225.97 220.37 897.95 245.24 772.97 944.49 937.77 959.75 907.45 944.10
Total assets 3,228.13 2,394.83 2,418.85 2,525.51 2,786.99 2,555.36 1,720.25 1,647.72 1,595.43 1,206.32 1,147.93 1,089.81 1,046.05 1,050.00 1,004.82 968.67 961.90 976.68 926.67 964.76
Total current liabilities + 64.74 1,808.33 1,918.70 45.12 38.47 41.60 1,446.45 1,382.74 36.91 34.59 35.20 45.70 849.70 47.30 874.72 785.61 783.81 773.75 701.41 729.69
Total non-current liabilities + 2,743.41 283.23 222.69 2,235.35 37.97 56.88 84.29 96.85 94.60 74.25 76.50 80.94 89.55 59.95 32.63 89.30 89.79 118.49 140.13 157.77
Total liabilities 2,808.15 2,091.56 2,141.39 2,280.47 37.97 56.88 1,530.74 1,479.59 1,441.47 1,086.26 1,033.21 979.79 939.25 948.73 907.35 874.91 873.60 892.24 841.54 887.45
Total stockholders' equity + 419.97 303.27 277.46 245.04 2,749.02 2,498.48 189.52 168.14 153.97 120.06 114.72 110.02 106.80 101.26 97.47 93.75 88.30 84.44 85.13 77.30
Common shares outstanding 10 9 9 9 9 9 7 7 7 6 6 6 6 6 6 6 6 6 6 6
Show Quarterly Balance Sheet

Balance Sheet - ACNB CORP (ACNB)

$(Billion, Million)
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total cash and short-term investments + 474.11 23.68 564.36 558.43 579.38 64.85 476.17 504.64 478.25 517.65 499.60 536.30 616.01 721.72 860.22 925.02 1,053.98 1,147.23 1,134.46 978.70 861.77 737.07 613.32 489.83 382.22 305.19 302.39 252.32 222.30 202.64 226.65 215.48 215.82 193.49 207.88 160.00 153.62 161.92 199.33 163.22 135.59 144.45 154.80 135.24 142.89 137.67 146.07 152.06 143.97 148.10 154.39 179.75 198.81 217.18 240.39 255.94 237.11 231.85 264.33 249.61 230.49 214.90 238.40 233.58 237.57 234.01 253.31 230.93 234.58 0.63 246.77 266.38 289.06 0.18 370.11 374.59 341.71 0.31 351.27 353.81 359.27
Accounts receivable, net 1,554.67 1,512.14 1,509.18 1,490.85 1,465.36
Inventories 15.16 0.47 0.47 0.68 0.79 0.80 0.36 0.05 0.16 0.06 0.29 0.63 2.17 2.15 1.34 0.55 2.03 2.19 1.69 2.20 2.42 1.83 2.42 3.45 3.24 3.17 3.50 2.01 2.26 2.21 4.91 6.86 10.93 8.52 6.79 6.98 4.77 4.16 4.46 2.84 10.93 11.70 11.06 7.26 6.19 0.87 6.76 5.34 1.59 0.45 1.25 1.34 1.31 1.03 1.23 0.95 0.60 0.73 0.83 0.83
Other current assets 0.94 65.94 58.50 86.68 53.60 66.43 64.51 85.93 117.93 172.03 360.89 -924.10 477.62 711.22 1,152.03 1,247.68 1,340.25 1,381.20 1,472.99 1,559.02 1,433.48 1,148.14 1,169.47 1,169.21 1,204.45 1,201.99 1,172.53 1,162.81 1,144.94 1,146.69 1,142.48 890.44 869.38 817.79 779.73 799.96 799.50 777.51 766.70 759.30 750.34 731.77 695.48 676.37 657.07 644.76 619.71 598.53 594.56 587.58 745.65 735.67 746.01 735.33 722.58 710.98 707.71 715.82 716.40 705.90 702.14 688.35
Total current assets 109.73 20.61 564.36 558.43 579.38 64.85 476.17 504.64 478.25 517.65 499.60 536.30 616.01 721.72 860.22 925.02 1,053.98 14.91 2,286.49 2,226.38 2,202.02 2,118.27 613.32 489.83 382.22 305.19 1,471.87 252.32 222.30 202.64 1,399.18 1,378.28 1,360.76 1,340.18 1,350.37 1,050.44 153.62 979.71 979.06 963.18 135.59 921.96 921.49 894.54 893.22 869.44 841.55 828.43 143.97 148.10 154.39 778.28 793.37 804.76 64.50 67.23 30.20 231.85 55.00 41.89 38.39 24.17 32.86 29.00 39.21 24.14 39.09 19.42 27.76 16.93 17.93 21.48 18.58 19.21 18.76 17.76 15.67 20.66 19.69 19.56 18.90
Total non-current assets + 3,160.13 3,207.52 2,686.48 2,701.10 2,690.66 2,329.98 1,944.74 1,953.12 1,936.04 1,901.20 1,888.92 1,841.86 1,794.92 706.11 658.30 1,758.14 697.72 82.46 506.31 482.14 452.60 437.09 1,889.73 1,922.47 1,797.85 1,415.06 263.98 1,426.99 1,448.86 1,445.09 248.62 245.06 250.26 255.25 257.27 211.50 1,088.11 226.61 229.81 205.93 1,016.77 225.97 211.05 211.72 215.80 220.37 225.98 228.82 901.95 897.95 880.14 260.57 242.67 245.24 998.52 980.09 990.53 772.97 969.62 956.45 937.32 944.49 960.33 949.29 939.77 937.77 928.95 941.52 934.41 959.75 918.77 909.92 906.01 907.45 987.45 984.35 946.37 944.10 944.79 937.40 945.84
Total assets 3,269.86 3,228.13 3,250.84 3,259.53 3,270.04 2,394.83 2,420.91 2,457.75 2,414.29 2,418.85 2,388.52 2,378.15 2,410.93 2,525.51 2,654.15 2,683.16 2,746.16 2,786.99 2,792.79 2,708.52 2,654.62 2,555.36 2,503.05 2,412.30 2,180.07 1,720.25 1,735.85 1,679.31 1,671.16 1,647.72 1,647.80 1,623.34 1,611.02 1,595.43 1,607.64 1,261.94 1,241.73 1,206.32 1,208.87 1,169.11 1,152.35 1,147.93 1,132.54 1,106.25 1,109.02 1,089.81 1,067.53 1,057.25 1,045.93 1,046.05 1,034.53 1,038.86 1,036.04 1,050.00 1,063.02 1,047.32 1,020.74 1,004.82 1,024.62 998.34 975.72 968.67 993.20 978.29 978.99 961.90 968.03 960.95 962.17 976.68 936.70 931.40 924.58 926.67 1,006.21 1,002.11 962.04 964.76 964.48 956.97 964.74
Total current liabilities + 2,624.65 64.74 2,546.36 2,567.58 2,584.20 1,808.33 1,829.09 1,887.56 1,852.53 1,918.70 1,984.47 2,015.46 2,086.12 45.12 44.97 2,392.73 33.21 38.47 48.02 33.32 34.27 41.60 2,168.54 2,067.21 1,838.06 1,446.45 45.17 1,402.41 1,399.01 1,382.74 1.00 26.42 33.44 36.91 33.81 30.84 1,018.46 34.59 35.50 36.19 977.80 35.20 37.72 34.40 34.75 45.70 53.82 42.20 855.90 849.70 876.65 51.25 42.27 47.30 884.28 860.56 832.38 874.72 845.37 817.32 791.10 785.61 806.65 792.67 778.49 783.81 770.69 777.53 777.91 773.75 715.37 734.38 728.81 701.41 796.79 782.80 732.26 729.69 764.85 740.39 722.97
Total non-current liabilities + 219.74 2,743.41 295.83 296.80 298.96 283.23 285.07 280.86 281.84 222.69 148.42 105.63 68.98 2,235.35 2,376.81 43.40 33.38 2,476.40 45.12 58.26 68.60 56.88 77.79 92.90 95.01 84.29 75.73 96.01 98.36 96.85 84.73 89.82 95.32 94.60 96.85 95.85 101.42 74.25 76.50 80.50 57.61 76.50 75.50 78.80 78.87 80.94 69.51 76.57 81.67 89.55 54.86 52.83 52.89 59.95 77.07 86.85 89.80 32.63 79.78 83.68 89.58 89.30 92.72 92.96 110.11 89.79 108.15 98.29 98.67 118.49 138.48 112.84 108.52 140.13 127.32 140.42 150.97 157.77 122.66 143.39 168.15
Total liabilities 2,844.39 2,808.15 2,842.20 2,864.38 2,883.16 2,091.56 2,114.16 2,168.42 2,134.37 2,141.39 2,132.88 2,121.08 2,155.09 2,280.47 2,421.78 2,436.13 2,490.15 2,514.87 2,522.95 2,442.15 2,397.01 2,297.39 2,246.33 2,160.11 1,933.07 1,530.74 1,549.78 1,498.42 1,497.37 1,479.59 1,483.29 1,463.04 1,454.41 1,441.47 1,454.38 1,138.09 1,119.88 1,086.26 1,088.12 1,049.83 1,035.41 1,033.21 1,018.00 993.35 997.38 979.79 955.82 946.80 937.57 939.25 931.51 937.06 933.74 948.73 961.35 947.41 922.17 907.35 925.15 901.00 880.68 874.91 899.37 885.63 888.60 873.60 878.85 875.82 876.58 892.24 853.85 847.21 837.33 841.54 924.11 923.21 883.23 887.45 887.51 883.78 891.13
Total stockholders' equity + 425.48 419.97 408.64 395.15 386.88 303.27 306.76 289.33 279.92 277.46 255.64 257.07 255.84 245.04 232.37 247.03 256.01 272.11 269.84 266.37 257.61 257.97 256.72 252.19 246.99 189.52 186.07 180.88 173.79 168.14 164.51 160.31 156.61 153.97 153.26 123.84 121.84 120.06 120.75 119.28 116.94 114.72 114.55 112.90 111.65 110.02 111.71 110.45 108.36 106.80 103.02 101.80 102.30 101.26 101.68 99.91 98.56 97.47 99.47 97.33 95.04 93.75 93.82 92.66 90.38 88.30 89.19 85.13 85.59 84.44 82.85 84.18 87.26 85.13 82.10 78.90 78.82 77.30 76.97 73.19 73.61
Common shares outstanding 10 10 10 10 10 9 9 9 9 9 9 9 9 9 9 9 9 9 9 9 9 9 9 9 9 7 7 7 7 7 7 7 7 7 7 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 7 6 6
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