Recent Annual Filings for EAF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,288,889,000 $620,500,000 $894,264,000 $-258,638,000 $76,561,000 $18,713,000 $42,237,000
2022 $1,604,178,000 $1,281,250,000 $828,932,000 $382,336,000 $324,628,000 $-176,267,000 $77,127,000
2021 $1,412,318,000 $1,345,788,000 $889,382,000 $400,527,000 $443,040,000 $-471,792,000 $-87,928,000
2020 $1,432,712,000 $1,224,361,000 $714,316,000 $422,094,000 $563,646,000 $-463,683,000 $64,507,000
2019 $1,526,164,000 $1,790,793,000 $947,966,000 $743,041,000 $805,316,000 $-709,631,000 $31,801,000
2018 $1,505,491,000 $1,895,910,000 $993,102,000 $828,130,000 $836,603,000 $-731,044,000 $38,264,000