Recent Annual Filings for ETON

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $76,123,000 $39,011,000 $42,819,000 $-3,823,000 $969,000 $32,593,000 $-6,452,000
2023 $31,740,000 $31,642,000 $32,331,000 $-936,000 $6,815,000 $-957,000 $5,083,000
2022 $25,030,000 $21,251,000 $30,272,000 $-9,021,000 $4,821,000 $-134,000 $1,899,000
2021 $27,465,000 $21,832,000 $23,787,000 $-1,955,000 $-4,721,000 $391,000 $-6,889,000
2020 $26,319,000 $39,000 $28,009,000 $-27,970,000 $-22,346,000 $31,625,000 $9,229,000
2019 $17,072,000 $959,000 $19,279,000 $-18,320,000 $-18,026,000 $5,203,000 $-14,669,000
2018 $28,327,000 $-12,740,000 $-8,145,000 $21,960,000 $13,579,000