Recent Annual Filings for OLPX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,767,723,000 $422,670,000 $395,758,000 $17,392,000 $143,068,000 $-18,610,000 $119,567,000
2023 $1,740,338,000 $458,300,000 $381,580,000 $60,375,000 $177,532,000 $-30,326,000 $143,592,000
2022 $1,697,675,000 $704,274,000 $399,033,000 $246,649,000 $255,324,000 $-116,222,000 $136,420,000
2021 $1,560,422,000 $598,365,000 $322,756,000 $220,784,000 $200,029,000 $-18,340,000 $175,424,000