Recent Annual Filings for UONEK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $944,790,000 $449,674,000 $543,683,000 $-104,179,000 $37,478,000 $-131,831,000 $-95,996,000
2023 $1,211,173,000 $477,690,000 $460,050,000 $-68,662,000 $64,645,000 $-28,312,000 $131,691,000
2022 $1,338,487,000 $484,604,000 $427,928,000 $58,232,000 $67,060,000 $-95,216,000 $-56,839,000
2021 $1,261,108,000 $441,462,000 $387,218,000 $40,667,000 $80,150,000 $-3,504,000 $78,360,000
2020 $1,195,487,000 $376,337,000 $417,382,000 $-6,569,000 $73,867,000 $-30,142,000 $40,312,000
2019 $1,249,919,000 $436,929,000 $424,008,000 $2,057,000 $58,505,000 $-49,204,000 $17,656,000
2018 $1,237,409,000 $439,098,000 $435,692,000 $142,164,000 $50,229,000 $-75,350,000 $-21,921,000
2017 $1,316,755,000 $440,041,000 $450,742,000 $112,462,000 $28,307,000 $-49,832,000 $-8,970,000