Recent Annual Filings for OPFI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $641,171,000 $321,478,000 $233,426,000 $83,837,000 $323,806,000 $-66,019,000 $14,345,000
2023 $601,543,000 $273,182,000 $231,372,000 $39,479,000 $296,146,000 $-27,581,000 $24,273,000
2022 $579,839,000 $216,960,000 $213,897,000 $3,340,000 $243,297,000 $61,255,000 $-12,692,000
2021 $502,106,000 $263,679,000 $173,573,000 $89,795,000 $167,346,000 $48,829,000 $16,705,000