Recent Annual Filings for ELEV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $95,626,000 $-44,433,000 $-36,364,000 $44,938,000 $209,000
2023 $89,091,000 $-45,534,000 $-56,180,000 $47,975,000 $3,338,000
2022 $94,161,000 $-95,241,000 $-85,483,000 $29,514,000 $-100,367,000
2021 $149,494,000 $-32,039,000 $-30,167,000 $97,051,000