Recent Annual Filings for EBF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $348,935,000 $394,618,000 $339,164,000 $41,815,000 $65,855,000 $-93,652,000 $-14,597,000
2024 $399,190,000 $420,109,000 $360,986,000 $43,682,000 $69,069,000 $-26,446,000 $-12,371,000
2023 $393,835,000 $431,837,000 $366,907,000 $51,783,000 $46,776,000 $-26,957,000 $8,362,000
2022 $368,844,000 $400,014,000 $358,070,000 $30,677,000 $50,678,000 $-30,210,000 $10,416,000
2021 $364,388,000 $357,973,000 $324,686,000 $29,018,000 $52,817,000 $-24,702,000 $6,932,000
2020 $365,699,000 $438,412,000 $387,161,000 $29,790,000 $57,219,000 $-55,957,000 $-20,184,000
2019 $363,085,000 $400,782,000 $350,848,000 $37,161,000 $51,335,000 $-27,353,000 $-7,788,000
2018 $329,439,000 $370,171,000 $323,262,000 $34,585,000 $45,290,000 $-25,573,000 $15,764,000