Recent Annual Filings for YORW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $633,473,000 $74,959,000 $53,284,000 $20,325,000 $30,559,000 $18,450,000
2023 $588,205,000 $71,031,000 $45,997,000 $23,757,000 $31,908,000 $33,357,000
2022 $510,595,000 $60,061,000 $40,466,000 $19,580,000 $22,018,000 $31,902,000
2021 $458,853,000 $55,119,000 $37,015,000 $16,984,000 $22,959,000 $18,440,000 $-5,001,000
2020 $406,957,000 $53,852,000 $35,236,000 $16,598,000 $20,235,000 $17,392,000 $5,000,000
2019 $363,529,000 $51,578,000 $34,936,000 $14,402,000 $18,881,000 $1,656,000
2018 $345,140,000 $48,437,000 $32,570,000 $13,376,000 $18,372,000 $-1,598,000
2017 $332,030,000 $48,589,000 $26,116,000 $12,974,000 $20,111,000 $756,000 $-4,207,000