Recent Annual Filings for ELMD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $52,234,000 $54,716,000 $47,680,000 $5,150,000 $9,067,000 $36,000 $8,708,000
2023 $45,806,000 $48,067,000 $43,981,000 $3,166,000 $1,315,000 $-380,000 $-781,000
2022 $41,364,000 $41,659,000 $38,662,000 $2,305,000 $-686,000 $-1,525,000 $-3,736,000
2021 $37,109,000 $35,756,000 $32,589,000 $2,362,000 $3,077,000 $-1,219,000 $1,410,000
2020 $33,244,563 $32,470,688 $27,231,250 $4,161,439 $4,196,448 $-548,030 $2,671,222
2019 $29,354,188 $31,299,750 $28,390,532 $1,969,218 $2,589,874 $-851,152 $352,084
2018 $26,638,204 $28,697,622 $25,669,226 $1,902,396 $2,442,200 $11,712 $1,882,135
2017 $23,060,649 $25,861,144 $22,341,672 $2,229,472 $1,191,121 $-53,619 $450,354