Recent Annual Filings for EGY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $954,950,000 $478,988,000 $342,570,000 $50,648,000 $113,718,000 $-43,048,000 $-31,449,000
2023 $823,216,000 $455,066,000 $296,842,000 $62,055,000 $223,597,000 $-56,819,000 $69,555,000
2022 $855,641,000 $354,326,000 $183,088,000 $53,069,000 $128,846,000 $-17,955,000 $-12,320,000
2021 $263,090,000 $199,075,000 $119,535,000 $81,836,000 $50,117,000 $-57,000 $10,997,000
2020 $141,232,000 $67,176,000 $92,770,000 $-48,181,000 $27,450,000 $-929,000 $2,193,000
2019 $211,537,000 $84,521,000 $58,907,000 $2,563,000 $26,472,000 $-3,655,000 $12,469,000
2018 $166,312,000 $104,943,000 $54,021,000 $98,232,000 $37,176,000 $-8,680,000 $14,369,000
2017 $79,633,000 $77,025,000 $56,990,000 $9,651,000 $6,659,000 $-5,815,000 $-805,000