Recent Annual Filings for OABI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $325,558,000 $26,391,000 $97,802,000 $-62,056,000 $-39,664,000 $13,020,000 $11,240,000
2023 $375,225,000 $34,164,000 $98,527,000 $-50,578,000 $2,347,000 $-892,000 $-16,921,000
2022 $421,212,000 $59,077,000 $85,138,000 $-22,325,000 $-3,587,000 $110,739,000 $33,839,000