Recent Annual Filings for EPAC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $762,597,000 $598,204,000 $529,306,000 $60,312,000 $77,603,000 $-53,130,000 $33,716,000
2022 $757,312,000 $571,223,000 $547,231,000 $-26,291,000 $51,736,000 $-52,202,000 $-19,653,000
2021 $820,247,000 $528,660,000 $484,685,000 $45,817,000 $54,183,000 $-81,516,000 $-11,818,000
2020 $824,294,000 $493,292,000 $485,443,000 $75,338,000 $-3,159,000 $-238,926,000 $-58,981,000