Recent Annual Filings for ELME

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,845,762,000 $241,935,000 $218,466,000 $-13,211,000 $95,243,000 $-51,432,000 $71,000
2023 $1,900,028,000 $227,911,000 $250,974,000 $-51,702,000 $84,669,000 $60,238,000 $-1,314,000
2022 $1,872,606,000 $209,380,000 $211,103,000 $-26,010,000 $73,211,000 $-56,416,000 $-224,368,000