Recent Annual Filings for ETNB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $596,269,000 $-141,649,000 $-129,186,000 $513,111,000 $260,906,000
2022 $196,824,000 $-102,312,000 $-81,090,000 $117,831,000 $2,798,000
2021 $162,422,000 $-90,176,000 $-76,781,000 $23,871,000 $-45,751,000
2020 $211,074,000 $-49,509,000 $-46,244,000 $157,924,000 $4,848,000
2019 $95,553,000 $-57,420,000 $-25,460,000 $107,702,000 $82,103,000