Recent Annual Filings for OMI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,656,156,000 $10,700,883,000 $11,058,240,000 $-380,212,000 $161,495,000 $-267,603,000 $-223,542,000
2023 $5,093,322,000 $10,333,967,000 $10,388,693,000 $-37,264,000 $740,710,000 $-417,330,000 $186,739,000
2022 $5,386,283,000 $9,955,475,000 $9,944,584,000 $27,125,000 $325,006,000 $1,497,105,000 $14,150,000
2021 $3,536,551,000 $9,785,315,000 $9,508,561,000 $219,507,000 $124,177,000 $-129,478,000 $-62,471,000
2020 $3,335,639,000 $8,480,177,000 $8,370,269,000 $44,069,000 $339,223,000 $-379,386,000 $49,819,000
2019 $3,643,084,000 $9,210,939,000 $9,239,658,000 $-69,466,000 $166,085,000 $-130,197,000 $-18,680,000
2018 $3,773,788,000 $9,838,708,000 $10,307,903,000 $-457,540,000 $115,589,000 $701,071,000 $-1,155,000
2017 $3,376,293,000 $9,318,275,000 $9,260,797,000 $115,192,000 $56,774,000 $272,806,000 $-80,966,000