Recent Annual Filings for EML

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $235,308,747 $272,751,967 $255,677,647 $-7,493,212 $19,386,050 $-4,823,895 $5,962,261
2023 $252,039,201 $273,454,857 $262,462,915 $8,585,002 $26,482,062 $-22,902,278 $-1,888,069
2022 $261,523,033 $279,265,146 $264,862,229 $15,422,036 $7,328,346 $-11,775,857 $449,218
2021 $266,328,935 $246,522,823 $227,452,263 $12,313,166 $-7,757,423 $-20,272,950 $-14,210,833
2020 $275,528,354 $240,403,114 $234,377,502 $1,143,342 $20,688,762 $-13,183,591 $-1,894,870
2019 $280,662,976 $251,742,619 $235,536,648 $10,660,086 $22,958,164 $66,970,861 $4,070,742
2018 $181,247,567 $234,275,463 $216,685,134 $13,264,135 $12,876,062 $-10,369,853 $-8,349,712
2017 $176,458,397 $204,239,613 $192,784,671 $6,863,143 $11,180,182 $30,684,718 $-449,899