Recent Annual Filings for OFIX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $893,294,000 $799,491,000 $923,366,000 $-129,006,000 $25,790,000 $50,709,000 $48,919,000
2023 $925,315,000 $746,641,000 $895,320,000 $-151,312,000 $-45,753,000 $65,322,000 $-13,562,000
2022 $458,629,000 $460,713,000 $478,419,000 $-21,125,000 $-11,538,000 $-78,000 $-36,150,000
2021 $476,623,000 $464,479,000 $477,974,000 $-41,631,000 $18,475,000 $-3,621,000 $-8,159,000
2020 $525,861,000 $406,562,000 $406,930,000 $8,808,000 $74,272,000 $3,245,000 $25,183,000
2019 $495,620,000 $459,955,000 $487,004,000 $-35,734,000 $32,033,000 $-10,688,000 $-1,579,000
2018 $466,641,000 $453,042,000 $430,157,000 $13,320,000 $49,918,000 $2,993,000 $-8,087,000
2017 $405,354,000 $433,823,000 $397,432,000 $16,590,000 $53,341,000 $3,538,000 $41,585,000