Recent Annual Filings for EYPT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $418,465,000 $43,273,000 $174,053,000 $-130,706,000 $-126,226,000 $164,022,000 $-181,559,000
2023 $355,184,000 $46,018,000 $116,730,000 $-70,717,000 $1,875,000 $187,070,000 $185,630,000
2022 $180,356,000 $41,404,000 $143,658,000 $-102,309,000 $-65,005,000 $-690,000 $-82,960,000
2021 $263,372,000 $36,939,000 $95,356,000 $-58,417,000 $-50,097,000 $216,902,000 $133,684,000
2020 $91,717,000 $34,437,000 $79,831,000 $-45,393,000 $-14,435,000 $37,492,000 $22,695,000
2019 $72,971,000 $20,365,000 $77,158,000 $-56,792,000 $-56,699,000 $33,864,000 $-23,047,000
2018 $71,670,000 $2,961,000 $56,132,000 $-53,166,000 $-21,907,000 $60,671,000 $21,878,000