Recent Annual Filings for ELDN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $177,405,000 $-47,271,000 $133,522,000 $15,937,000
2023 $89,066,000 $-40,326,000 $-39,527,000 $33,017,000 $-51,797,000
2022 $92,793,000 $-87,966,000 $-28,424,000 $-28,424,000
2021 $170,548,000 $-34,506,000 $-28,913,000 $-449,000