Recent Annual Filings for OPI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,822,286,000 $595,823,000 $-136,107,000 $67,167,000 $114,674,000 $248,451,000
2023 $3,989,669,000 $474,592,000 $-69,432,000 $141,726,000 $67,560,000 $14,465,000
2022 $3,979,977,000 $465,025,000 $-6,109,000 $192,614,000 $-260,256,000 $-72,266,000
2021 $4,241,683,000 $533,818,000 $-8,180,000 $221,492,000 $249,153,000 $27,660,000
2020 $3,946,436,000 $479,163,000 $6,878,000 $233,628,000 $-254,482,000 $-43,841,000
2019 $4,193,136,000 $678,404,000 $574,512,000 $30,029,000 $215,329,000 $-1,031,395,000 $61,753,000