Recent Annual Filings for ONL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,336,422,000 $164,862,000 $234,156,000 $-102,727,000 $54,260,000 $-3,025,000 $-28,000
2023 $1,423,933,000 $195,041,000 $222,230,000 $-63,883,000 $89,088,000 $-92,490,000 $1,887,000
2022 $1,571,073,000 $208,118,000 $276,792,000 $-91,465,000 $114,232,000 $-110,716,000 $25,993,000
2021 $1,759,478,000 $79,731,000 $118,933,000 $-47,165,000 $56,108,000 $-18,444,000 $25,403,000