Recent Annual Filings for CAAS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $850,579,000 $650,935,000 $606,804,000 $30,776,000 $9,776,000 $17,365,000 $-53,370,000
2023 $766,440,000 $576,354,000 $528,119,000 $37,547,000 $19,906,000 $6,798,000 $-3,757,000
2022 $714,352,000 $529,551,000 $506,515,000 $-7,591,000 $48,023,000 $-1,583,000 $-548,000
2021 $716,762,000 $497,993,000 $489,594,000 $18,510,000 $28,271,000 $-3,119,000 $31,438,000
2020 $707,560,000 $417,636,000 $429,836,000 $12,115,000 $57,426,000 $-19,833,000 $21,658,000
2019 $659,964,000 $431,427,000 $423,868,000 $2,644,000 $30,294,000 $-10,738,000 $-9,573,000
2018 $690,499,000 $496,158,000 $498,659,000 $-16,469,000 $12,526,000 $10,120,000 $19,876,000
2017 $717,369,000 $499,063,000 $478,688,000 $745,000 $50,153,000 $28,460,000 $33,466,000