Recent Annual Filings for UEC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $889,828,000 $224,000 $34,479,000 $-39,442,000 $-106,487,000 $173,076,000 $41,948,000
2023 $737,589,000 $164,389,000 $166,826,000 $-6,729,000 $72,573,000 $65,417,000 $13,210,000
2022 $354,247,000 $23,161,000 $17,914,000 $4,573,000 $-52,987,000 $157,266,000 $-6,564,000
2021 $169,541,085 $-14,200,319 $-41,469,449 $84,457,538 $39,363,538
2020 $91,389,617 $-14,743,221 $-12,870,711 $307,092 $-892,659
2019 $101,040,242 $14,977,013 $-17,140,328 $-12,573,468 $23,843,995 $-836,844
2018 $89,611,309 $-17,708,291 $-12,511,328 $604,248 $-5,649,450
2017 $72,177,234 $-17,971,028 $-10,419,444 $26,890,764 $5,433,402