Recent Annual Filings for CARE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,659,189,000 $19,413,000 $-11,456,000 $31,441,000 $36,938,000 $108,106,000 $76,642,000
2023 $4,512,539,000 $17,267,000 $-11,454,000 $37,561,000 $46,730,000 $267,941,000 $7,660,000
2022 $4,204,519,000 $19,106,000 $-42,611,000 $-37,200,000 $70,791,000 $80,350,000 $-230,930,000
2021 $4,133,746,000 $19,902,000 $-15,796,000 $17,571,000 $77,538,000 $64,674,000 $35,857,000