Recent Annual Filings for OPOF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,450,570,000 $85,816,000 $74,411,000 $9,906,000 $14,644,000 $-6,070,000 $59,238,000
2023 $1,446,382,000 $80,499,000 $71,435,000 $10,967,000 $10,996,000 $81,060,000 $59,509,000
2022 $1,355,335,000 $61,548,000 $50,966,000 $-13,334,000 $17,565,000 $27,203,000 $-168,672,000
2021 $1,338,155,000 $57,137,000 $47,401,000 $6,046,000 $23,176,000 $105,040,000 $67,485,000
2020 $1,226,191,000 $54,707,000 $48,797,000 $9,537,000 $-8,635,000 $161,448,000 $30,572,000
2019 $1,054,488,000 $54,318,000 $45,378,000 $9,937,000 $12,370,000 $6,147,000 $47,648,000
2018 $1,038,183,000 $51,528,000 $46,330,000 $3,686,000 $12,154,000 $3,624,000 $27,805,000
2017 $981,826,000 $46,992,000 $47,118,000 $3,472,000 $9,438,000 $77,490,000 $-11,442,000