Recent Annual Filings for OSIS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,936,008,000 $1,538,758,000 $1,377,544,000 $125,745,000 $-87,501,000 $144,250,000 $18,603,000
2023 $1,555,686,000 $1,278,427,000 $1,163,189,000 $97,613,000 $94,812,000 $-37,175,000 $12,548,000
2022 $1,443,150,000 $1,183,236,000 $1,043,076,000 $104,631,000 $63,808,000 $-64,008,000 $-16,411,000
2021 $1,384,367,000 $1,146,902,000 $1,048,262,000 $84,497,000 $139,066,000 $-103,925,000 $4,511,000
2020 $1,268,541,000 $1,166,044,000 $1,079,922,000 $66,785,000 $129,180,000 $-104,730,000 $-20,214,000
2019 $1,264,864,000 $1,182,115,000 $1,095,951,000 $62,853,000 $119,112,000 $-58,314,000 $11,502,000
2018 $1,255,691,000 $1,089,286,000 $1,052,432,000 $-26,723,000 $133,109,000 $-68,448,000 $-84,836,000
2017 $1,230,087,000 $960,951,000 $935,200,000 $21,144,000 $62,779,000 $203,584,000 $65,280,000