Recent Annual Filings for OII

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,336,347,000 $2,661,161,000 $2,414,891,000 $100,362,000 $203,214,000 $-27,042,000 $35,950,000
2023 $2,239,006,000 $2,424,706,000 $2,243,378,000 $101,190,000 $209,955,000 $-227,297,000 $-107,179,000
2022 $2,031,683,000 $2,066,084,000 $1,955,221,000 $6,272,000 $120,883,000 $-1,862,000 $30,631,000
2021 $1,962,859,000 $1,869,275,000 $1,829,476,000 $-56,459,000 $225,314,000 $-101,682,000 $86,098,000
2020 $2,045,842,000 $1,827,889,000 $2,273,968,000 $-521,960,000 $136,647,000 $-1,699,000 $78,361,000
2019 $2,740,663,000 $2,048,124,000 $2,338,837,000 $-343,164,000 $157,569,000 $-2,299,000 $19,396,000
2018 $2,824,998,000 $1,900,000,000 $2,045,482,000 $-259,568,000 $36,567,000 $-5,628,000 $-76,057,000
2017 $3,023,950,000 $1,921,507,000 $1,910,851,000 $176,926,000 $136,478,000 $-45,922,000 $-19,877,000