Recent Annual Filings for OLP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $766,954,000 $108,570,000 $58,670,000 $30,162,000 $39,059,000 $-32,875,000 $15,889,000
2023 $761,606,000 $107,654,000 $57,339,000 $28,951,000 $46,053,000 $-56,693,000 $22,315,000
2022 $783,255,000 $108,978,000 $54,832,000 $45,578,000 $44,197,000 $-28,269,000 $-9,389,000
2021 $752,953,000 $82,740,000 $43,706,000 $42,531,000 $48,561,000 $-68,830,000 $3,102,000
2020 $776,137,000 $81,903,000 $54,490,000 $24,030,000 $35,126,000 $-33,863,000 $1,596,000
2019 $774,629,000 $84,736,000 $66,192,000 $15,022,000 $36,232,000 $-28,072,000 $-4,765,000
2018 $780,912,000 $79,126,000 $57,562,000 $23,302,000 $42,646,000 $19,080,000 $2,065,000
2017 $742,586,000 $75,916,000 $51,667,000 $25,890,000 $44,557,000 $-24,767,000 $-3,654,000