Recent Annual Filings for EARN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $824,092,000 $15,069,000 $7,973,000 $6,586,000 $9,112,000 $-132,253,000 $-6,693,000
2023 $945,690,000 $-2,707,000 $5,535,000 $4,559,000 $-10,022,000 $-71,984,000 $3,717,000
2022 $1,053,632,000 $20,186,000 $5,128,000 $-30,198,000 $22,417,000 $-167,176,000 $-34,212,000
2021 $1,598,466,000 $25,641,000 $5,752,000 $-6,309,000 $27,880,000 $-1,787,000 $10,862,000
2020 $1,194,811,000 $17,355,000 $5,826,000 $20,112,000 $24,369,000 $-305,613,000 $22,815,000
2019 $1,489,109,000 $8,570,000 $5,288,000 $22,256,000 $17,533,000 $-222,622,000 $16,766,000
2018 $1,675,566,000 $22,034,000 $5,508,000 $-11,295,000 $28,849,000 $-129,214,000 $-37,532,000
2017 $1,887,087,000 $30,143,000 $5,702,000 $10,788,000 $60,246,000 $440,254,000 $22,613,000