Recent Annual Filings for OSCR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,840,496,000 $9,177,564,000 $9,120,299,000 $22,985,000 $978,193,000 $68,388,000 $-340,853,000
2023 $3,601,480,000 $5,862,869,000 $6,098,484,000 $-259,570,000 $-272,159,000 $6,446,000 $311,474,000
2022 $4,526,601,000 $3,963,638,000 $4,553,505,000 $-615,596,000 $380,349,000 $301,110,000 $454,940,000
2021 $3,321,650,000 $1,838,715,000 $2,383,196,000 $-575,976,000 $-181,745,000 $1,238,712,000 $282,452,000