Recent Annual Filings for OPAL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $881,077,000 $299,972,000 $278,750,000 $15,342,000 $33,033,000 $83,504,000 $-18,014,000
2023 $754,609,000 $256,108,000 $249,068,000 $125,728,000 $38,269,000 $5,899,000 $-29,979,000
2022 $644,856,000 $235,531,000 $233,752,000 $33,867,000 $-1,355,000 $220,550,000 $35,167,000