Recent Annual Filings for CAMP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $78,307,000 $652,000 $53,740,000 $-51,791,000 $-45,562,000 $71,662,000 $25,659,000
2023 $380,120,000 $294,949,000 $326,288,000 $-33,033,000 $-22,932,000 $-909,000 $-34,941,000
2022 $391,581,000 $295,839,000 $309,309,000 $-28,386,000 $-4,218,000 $-2,643,000 $-14,438,000
2021 $433,805,000 $308,587,000 $315,412,000 $-55,919,000 $28,585,000 $-27,316,000 $-12,425,000
2020 $495,805,000 $366,107,000 $406,307,000 $-80,018,000 $11,544,000 $-94,820,000 $-148,974,000
2019 $603,626,000 $363,800,000 $344,105,000 $17,936,000 $47,740,000 $98,495,000 $124,450,000
2018 $472,993,000 $365,912,000 $337,203,000 $16,959,000 $66,894,000 $-2,264,000 $38,897,000
2017 $408,139,000 $351,102,000 $359,285,000 $-8,219,000 $25,796,000 $-25,819,000 $-45,682,000