Recent Annual Filings for OPY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,382,726,000 $1,432,496,000 $1,326,739,000 $71,024,000 $-108,168,000 $116,322,000 $4,315,000
2023 $2,874,816,000 $1,248,825,000 $1,202,055,000 $29,770,000 $-18,810,000 $-74,761,000 $-109,132,000
2022 $2,714,392,000 $1,110,941,000 $1,065,387,000 $29,301,000 $64,492,000 $-253,912,000 $-203,557,000
2021 $3,043,250,000 $1,394,035,000 $1,169,394,000 $159,741,000 $227,786,000 $84,581,000 $306,100,000
2020 $2,713,903,000 $1,198,667,000 $1,029,667,000 $124,673,000 $-54,059,000 $13,874,000 $-44,126,000
2019 $2,464,755,000 $1,033,379,000 $958,467,000 $54,549,000 $79,142,000 $-81,963,000 $-11,125,000
2018 $2,240,314,000 $958,154,000 $913,301,000 $27,459,000 $168,570,000 $-117,858,000 $42,521,000
2017 $2,438,517,000 $920,338,000 $900,602,000 $25,263,000 $-16,136,000 $3,244,000 $-16,759,000