Recent Annual Filings for EVI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $230,659,000 $353,563,000 $344,679,000 $5,646,000 $32,652,000 $-27,199,000 $-1,363,000
2023 $253,847,000 $354,173,000 $340,174,000 $9,719,000 $940,000 $6,993,000 $1,947,000
2022 $230,768,000 $267,316,000 $261,606,000 $4,095,000 $-1,898,000 $15,749,000 $-2,083,000
2021 $177,850,000 $242,005,000 $232,117,000 $8,384,000 $13,694,000 $-9,784,000 $-3,732,000
2020 $160,718,000 $235,802,000 $234,454,000 $775,000 $23,066,000 $-13,561,000 $4,751,000
2019 $154,485,000 $228,318,000 $222,702,000 $3,743,000 $-8,725,000 $27,954,000 $3,708,000
2018 $95,474,000 $150,007,000 $143,625,000 $3,966,000 $11,345,000 $3,439,000 $603,000
2017 $57,135,000 $93,978,000 $88,788,000 $3,167,000 $2,590,000 $9,140,000 $-3,215,000