Recent Annual Filings for ESBA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,510,287,000 $767,923,000 $684,876,000 $87,017,000 $260,892,000 $158,576,000 $22,346,000
2023 $4,219,333,000 $739,572,000 $652,450,000 $82,169,000 $232,491,000 $-62,873,000 $92,278,000
2022 $4,163,594,000 $727,041,000 $662,283,000 $110,486,000 $211,173,000 $-140,242,000 $-159,960,000
2021 $4,282,447,000 $624,094,000 $638,865,000 $-1,036,000 $212,486,000 $-93,045,000 $-93,301,000
2020 $4,150,695,000 $609,228,000 $639,088,000 $-33,341,000 $182,293,000 $257,167,000 $296,342,000
2019 $3,931,834,000 $731,343,000 $644,624,000 $63,708,000 $232,591,000 $-381,551,000 $784,000
2018 $4,195,780,000 $731,511,000 $609,616,000 $116,377,000 $279,022,000 $104,617,000 $-259,384,000
2017 $3,931,347,000 $712,468,000 $587,542,000 $107,737,000 $191,455,000 $-56,877,000 $-90,027,000