Recent Annual Filings for OXBR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,465,000 $546,000 $2,171,000 $-2,726,000 $-1,232,000 $2,600,000 $2,148,000
2023 $8,253,000 $-7,049,000 $2,324,000 $-9,373,000 $-1,260,000 $1,365,000
2022 $16,616,000 $850,000 $2,596,000 $-1,789,000 $-829,000 $1,490,000
2021 $17,689,000 $10,225,000 $1,569,000 $8,565,000 $-253,000 $2,058,000
2020 $9,083,000 $1,214,000 $1,126,000 $-50,000 $-266,000 $-384,000 $-540,000
2019 $9,495,000 $981,000 $1,131,000 $-307,000 $-4,371,000 $600,000 $-3,283,000
2018 $12,561,000 $3,810,000 $11,559,000 $-5,730,000 $-6,633,000 $2,000,000 $412,000
2017 $21,393,000 $23,841,000 $44,433,000 $-20,220,000 $-26,310,000 $-3,152,000 $-4,479,000