Recent Annual Filings for EDIT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $341,589,000 $32,314,000 $283,466,000 $-237,023,000 $-210,284,000 $56,027,000 $7,889,000
2023 $499,153,000 $78,123,000 $247,304,000 $-149,420,000 $-132,178,000 $118,039,000 $-17,870,000
2022 $514,321,000 $19,712,000 $240,144,000 $-223,540,000 $-177,349,000 $1,284,000 $-61,997,000
2021 $677,483,000 $25,544,000 $218,046,000 $-192,949,000 $-163,803,000 $282,106,000 $63,837,000
2020 $572,602,000 $90,732,000 $206,708,000 $-116,129,000 $-179,843,000 $224,122,000 $-96,243,000
2019 $508,885,000 $20,531,000 $154,277,000 $-133,610,000 $-40,669,000 $131,824,000 $103,407,000
2018 $420,386,000 $31,937,000 $141,891,000 $-109,907,000 $-45,707,000 $86,940,000 $-11,854,000
2017 $373,260,000 $13,728,000 $134,052,000 $-120,400,000 $-9,417,000 $154,534,000 $-38,693,000