Recent Annual Filings for EBMT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,103,090,000 $104,211,000 $92,821,000 $9,577,000 $28,539,000 $6,272,000 $7,014,000
2023 $2,075,666,000 $91,615,000 $79,961,000 $16,468,000 $9,346,000 $101,593,000 $2,734,000
2022 $1,948,384,000 $69,462,000 $55,614,000 $-19,149,000 $41,911,000 $153,507,000 $-39,623,000
2021 $1,435,926,000 $49,747,000 $30,465,000 $12,061,000 $56,454,000 $168,099,000 $-4,795,000
2020 $1,257,634,000 $49,654,000 $21,214,000 $25,728,000 $2,118,000 $64,801,000 $44,884,000
2019 $1,054,260,000 $46,511,000 $32,543,000 $13,312,000 $366,000 $73,052,000 $13,717,000
2018 $853,903,000 $34,843,000 $28,947,000 $3,558,000 $13,571,000 $41,115,000 $3,764,000
2017 $716,782,000 $27,860,000 $21,629,000 $4,827,000 $20,053,000 $36,859,000 $119,000