Recent Annual Filings for OBLG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,275,000 $2,378,000 $6,411,000 $-4,043,000 $-3,406,000 $2,381,000
2023 $6,925,000 $3,810,000 $5,406,000 $-4,384,000 $-2,993,000 $5,898,000
2022 $5,661,000 $5,476,000 $23,534,000 $-21,941,000 $-5,934,000 $5,915,000
2021 $28,607,000 $7,739,000 $14,512,000 $-9,051,000 $-7,732,000 $11,504,000 $3,723,000
2020 $29,143,000 $15,333,000 $18,117,000 $-7,421,000 $-6,566,000 $7,272,000 $675,000