Recent Annual Filings for ECVT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,802,321,000 $704,493,000 $709,515,000 $-13,101,000 $149,890,000 $-17,841,000 $58,596,000
2023 $1,837,751,000 $691,118,000 $609,179,000 $64,204,000 $137,597,000 $-93,498,000 $-21,236,000
2022 $1,884,553,000 $820,159,000 $725,424,000 $85,481,000 $186,606,000 $-148,186,000 $-24,601,000
2021 $1,931,219,000 $611,201,000 $597,260,000 $-120,297,000 $129,918,000 $-964,233,000 $1,417,000