Recent Annual Filings for OBT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,509,927,000 $127,227,000 $92,409,000 $24,240,000 $34,603,000 $-2,233,000 $2,951,000
2023 $2,485,468,000 $117,770,000 $80,621,000 $33,566,000 $44,500,000 $161,724,000 $61,302,000
2022 $2,287,334,000 $84,223,000 $53,946,000 $-40,390,000 $30,483,000 $183,526,000 $-220,098,000
2021 $2,142,583,000 $64,429,000 $37,752,000 $16,025,000 $20,320,000 $455,934,000 $184,947,000