Recent Annual Filings for OPAD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $313,053,000 $918,819,000 $980,947,000 $-62,159,000 $20,833,000 $-21,815,000 $-6,308,000
2023 $379,694,000 $1,314,412,000 $1,431,467,000 $-117,218,000 $261,632,000 $-323,982,000 $-60,365,000
2022 $825,069,000 $3,952,314,000 $4,100,568,000 $-148,613,000 $305,402,000 $-358,466,000 $-54,134,000
2021 $1,353,082,000 $2,070,446,000 $2,063,816,000 $6,460,000 $-921,920,000 $1,077,266,000 $143,691,000