Recent Annual Filings for OPHC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $932,933,000 $59,629,000 $41,998,000 $12,869,000 $15,605,000 $126,832,000 $16,967,000
2023 $791,254,000 $35,780,000 $27,323,000 $6,794,000 $6,882,000 $197,606,000 $4,827,000
2022 $585,219,000 $19,882,000 $14,490,000 $-1,168,000 $10,360,000 $232,308,000 $12,866,000
2021 $351,878,000 $10,389,000 $7,320,000 $5,730,000 $3,763,000 $109,336,000 $4,341,000
2020 $235,112,000 $6,710,000 $7,492,000 $-646,000 $-1,458,000 $109,927,000 $45,695,000
2019 $126,748,000 $5,174,000 $6,326,000 $-975,000 $-558,000 $26,834,000 $951,000
2018 $100,368,000 $4,292,000 $716,000 $24,000 $2,312,000 $-3,682,000
2017 $95,866,000 $4,716,000 $5,305,000 $-587,000 $570,000 $-24,020,000 $-5,975,000