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Ohio Valley Banc Corp. OVBC
$ 25.01 0.85%

Quarterly report 2024-Q3
added 11-14-2024

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Ohio Valley Banc Corp. Balance Sheet 2011-2024 | OVBC

Annual Balance Sheet Ohio Valley Banc Corp.

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011

Net Debt

- - - -104 M 93.1 M 77.1 M 69.2 M 100 M 76.9 M 86.8 M 83 M 77.1 M -17.8 M

Long Term Debt

- - - 36.4 M 42.5 M 48.2 M 44.4 M 45.6 M 32.4 M 33.5 M 27.2 M 27.8 M 33.8 M

Long Term Debt Current

- - - - - - - - - - - - -

Total Non Current Liabilities

- - - - 9.13 M 11.5 M 13.6 M 14.3 M 9.88 M 10.2 M 8.5 M 13.5 M 13.5 M

Total Current Liabilities

- - - - - - - - - - - - -

Total Liabilities

1.21 B 1.08 B 1.11 B 1.05 B 885 M 913 M 917 M 850 M 706 M 692 M 667 M 693 M 732 M

Deferred Revenue

- - - - - - - - - - - - -

Retained Earnings

115 M 109 M 101 M 93 M 86.8 M 80.8 M 72.7 M 69.1 M 65.8 M 60.9 M 56.2 M 51.1 M 48.4 M

Total Assets

1.35 B 1.21 B 1.25 B 1.19 B 1.01 B 1.03 B 1.03 B 955 M 796 M 779 M 747 M 769 M 804 M

Cash and Cash Equivalents

128 M 46 M 152 M 138 M 52.4 M 71.2 M 74.6 M 40.2 M 45.5 M 31 M 28.3 M 45.7 M 51.6 M

Book Value

144 M 135 M 141 M 136 M 128 M 118 M 109 M 105 M 90.5 M 86.2 M 80.4 M 75.8 M 71.8 M

Total Shareholders Equity

144 M 135 M 141 M 136 M 128 M 118 M 109 M 105 M 90.5 M 86.2 M 80.4 M 75.8 M 71.8 M

All numbers in USD currency

Quarterly Balance Sheet Ohio Valley Banc Corp.

2024-Q3 2024-Q2 2024-Q1 2023-Q3 2023-Q2 2023-Q1 2022-Q4 2022-Q3 2022-Q2 2022-Q1 2021-Q4 2021-Q3 2021-Q2 2021-Q1 2020-Q4 2020-Q3 2020-Q2 2020-Q1 2019-Q4 2019-Q3 2019-Q2 2019-Q1 2018-Q4 2018-Q3 2018-Q2 2018-Q1 2017-Q4 2017-Q3 2017-Q2 2017-Q1 2016-Q4 2016-Q3 2016-Q2 2016-Q1 2015-Q4 2015-Q3 2015-Q2 2015-Q1 2014-Q4 2014-Q3 2014-Q2 2014-Q1 2013-Q4 2013-Q3 2013-Q2 2013-Q1 2012-Q4 2012-Q3 2012-Q2 2012-Q1 2011-Q4 2011-Q3 2011-Q2 2011-Q1

Long Term Debt

- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -

Total Non Current Liabilities

- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -

Total Liabilities

1.34 B 1.26 B 1.23 B 1.18 B 1.14 B 1.13 B - 1.12 B 1.12 B 1.12 B 1.11 B 1.1 B 1.1 B 1.09 B 1.05 B 1.05 B 1.05 B 1.05 B 885 M 885 M 911 M 885 M 913 M 913 M 913 M 913 M 917 M 917 M 917 M 917 M 850 M 850 M 850 M 850 M 706 M 706 M 706 M 706 M 692 M 692 M 692 M 692 M 667 M 667 M 667 M 667 M 693 M 693 M 693 M 693 M 732 M 732 M 732 M 732 M

Deferred Revenue

- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -

Retained Earnings

120 M 119 M 117 M 113 M 111 M 110 M - 107 M 104 M 104 M 101 M 99.4 M 97.4 M 95.5 M 93 M 93 M 93 M 93 M 86.8 M 86.8 M 83.1 M 86.8 M 80.8 M 80.8 M 80.8 M 80.8 M 72.7 M 72.7 M 72.7 M 72.7 M 69.1 M 69.1 M 69.1 M 69.1 M 65.8 M 65.8 M 65.8 M 65.8 M 60.9 M 60.9 M 60.9 M 60.9 M 56.2 M 56.2 M 56.2 M 56.2 M 51.1 M 51.1 M 51.1 M 51.1 M 48.4 M 48.4 M 48.4 M 48.4 M

Total Assets

1.49 B 1.4 B 1.37 B 1.31 B 1.27 B 1.27 B - 1.25 B 1.25 B 1.26 B 1.25 B 1.25 B 1.24 B 1.23 B 1.19 B 1.19 B 1.19 B 1.19 B 1.01 B 1.01 B 1.03 B 1.01 B 1.03 B 1.03 B 1.03 B 1.03 B 1.03 B 1.03 B 1.03 B 1.03 B 955 M 955 M 955 M 955 M 796 M 796 M 796 M 796 M 779 M 779 M 779 M 779 M 747 M 747 M 747 M 747 M 769 M 769 M 769 M 769 M 804 M 804 M 804 M 804 M

Cash and Cash Equivalents

82.2 M 108 M 129 M 91.2 M 56.8 M 89.8 M - 113 M 94.1 M 164 M 152 M 135 M 125 M 176 M 138 M 138 M 138 M 138 M 52.4 M 52.4 M 70.2 M 52.4 M 71.2 M 71.2 M 71.2 M 71.2 M 74.6 M 74.6 M 74.6 M 74.6 M 40.2 M 40.2 M 40.2 M 40.2 M 45.5 M 45.5 M 45.5 M 45.5 M 31 M 31 M 31 M 31 M 28.3 M 28.3 M 28.3 M 28.3 M 45.7 M 45.7 M 45.7 M 45.7 M 51.6 M 51.6 M 51.6 M 51.6 M

Book Value

152 M 146 M 146 M 137 M 138 M 138 M - 129 M 133 M 137 M 141 M 141 M 139 M 138 M 136 M 136 M 136 M 136 M 128 M 128 M 124 M 128 M 118 M 118 M 118 M 118 M 109 M 109 M 109 M 109 M 105 M 105 M 105 M 105 M 90.5 M 90.5 M 90.5 M 90.5 M 86.2 M 86.2 M 86.2 M 86.2 M 80.4 M 80.4 M 80.4 M 80.4 M 75.8 M 75.8 M 75.8 M 75.8 M 71.8 M 71.8 M 71.8 M 71.8 M

Total Shareholders Equity

152 M 146 M 146 M 137 M 138 M 138 M - 129 M 133 M 137 M 141 M 141 M 139 M 138 M 136 M 136 M 136 M 136 M 128 M 128 M 124 M 128 M 118 M 118 M 118 M 118 M 109 M 109 M 109 M 109 M 105 M 105 M 105 M 105 M 90.5 M 90.5 M 90.5 M 90.5 M 86.2 M 86.2 M 86.2 M 86.2 M 80.4 M 80.4 M 80.4 M 80.4 M 75.8 M 75.8 M 75.8 M 75.8 M 71.8 M 71.8 M 71.8 M 71.8 M

All numbers in USD currency