Recent Annual Filings for OLB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,679,529 $12,838,988 $24,063,899 $-11,224,911 $-2,600,306 $2,115,843 $-151,570
2023 $19,728,411 $30,571,637 $53,845,576 $-23,273,939 $2,046,922 $-221,829 $-255,020
2022 $38,653,819 $30,368,979 $38,539,438 $-7,787,269 $-1,921,381 $447,429 $-3,036,313
2021 $45,529,491 $16,710,759 $21,689,117 $-4,978,358 $-3,508,082 $28,815,530 $-354,152
2020 $14,377,502 $9,766,621 $11,543,348 $-1,776,727 $-326,661 $3,793,536 $3,316,875