Recent Annual Filings for UNTY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,654,017,000 $155,738,000 $101,348,000 $42,080,000 $47,987,000 $30,488,000 $-14,338,000
2023 $2,578,507,000 $143,494,000 $90,499,000 $40,230,000 $46,909,000 $90,921,000 $79,983,000
2022 $2,444,948,000 $100,739,000 $49,318,000 $34,875,000 $42,669,000 $368,589,000 $-130,025,000
2021 $2,033,713,000 $84,780,000 $36,650,000 $37,630,000 $23,454,000 $33,493,000 $25,507,000
2020 $1,958,914,000 $78,915,000 $47,796,000 $22,301,000 $33,745,000 $214,334,000 $61,295,000
2019 $1,718,942,000 $75,648,000 $45,333,000 $23,964,000 $33,204,000 $112,412,000 $12,501,000
2018 $1,579,157,000 $67,263,000 $39,956,000 $21,591,000 $38,590,000 $97,324,000 $-4,739,000
2017 $1,455,496,000 $55,310,000 $32,877,000 $12,939,000 $14,449,000 $249,543,000 $44,359,000