Recent Annual Filings for ELA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $77,870,489 $180,376,229 $171,627,049 $6,757,059 $10,190,640 $-3,675,086 $2,755,150
2023 $73,474,229 $171,674,088 $162,652,718 $7,147,452 $5,842,708 $-3,398,963 $683,884
2022 $71,277,209 $182,685,854 $168,306,327 $15,689,133 $10,019,885 $-2,758,725 $7,031,821
2021 $34,366,515 $140,966,078 $130,804,395 $10,048,875 $2,805,063 $2,990,405 $10,138,148
2020 $40,579,092 $113,922,015 $107,448,454 $6,383,943 $6,897,091 $5,774,873 $4,707,376
2019 $27,003,394 $82,024,497 $79,148,668 $2,780,713 $-542,828 $9,639,052 $3,056,719