Recent Annual Filings for OWLT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $49,515,000 $78,056,000 $90,538,000 $-12,536,000 $-11,209,000 $16,044,000 $4,074,000
2023 $44,123,000 $54,010,000 $86,901,000 $-32,901,000 $-23,527,000 $28,912,000 $5,326,000
2022 $58,104,000 $69,202,000 $148,509,000 $-79,336,000 $-81,380,000 $-878,000 $-83,823,000
2021 $140,047,000 $75,842,000 $147,515,000 $-71,704,000 $-40,556,000 $120,621,000 $78,045,000