Recent Annual Filings for ONEW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,689,159,000 $1,936,310,000 $1,978,833,000 $-39,102,000 $-129,760,000 $213,715,000 $32,363,000
2022 $1,497,428,000 $1,744,822,000 $1,548,986,000 $152,603,000 $7,447,000 $456,403,000 $-13,002,000
2021 $720,614,000 $1,228,206,000 $1,085,991,000 $116,413,000 $159,423,000 $-36,497,000 $5,796,000
2020 $458,067,000 $1,022,970,000 $968,133,000 $48,508,000 $212,477,000 $-151,144,000 $56,661,000