Recent Annual Filings for USEG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $49,667,000 $20,619,000 $46,383,000 $-25,784,000 $4,587,000 $-5,983,000 $4,372,000
2023 $80,444,000 $32,316,000 $65,563,000 $-32,356,000 $5,472,000 $-9,358,000 $-1,060,000
2022 $118,320,000 $44,552,000 $47,408,000 $-963,000 $10,898,000 $6,040,000 $-11,000
2021 $17,663,000 $6,658,000 $8,428,000 $-1,770,000 $-153,000 $5,046,000 $1,568,000
2020 $12,363,000 $2,330,000 $8,811,000 $-6,439,000 $-717,000 $3,148,000 $1,322,000
2019 $13,467,000 $6,573,000 $7,495,000 $-550,000 $638,000 $-1,165,000 $-808,000
2018 $14,778,000 $5,539,000 $6,579,000 $-1,040,000 $-490,000 $863,000 $-937,000
2017 $15,316,000 $6,545,000 $7,905,000 $-2,208,000 $-892,000 $-50,000 $759,000