Recent Annual Filings for CARG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $824,536,000 $894,384,000 $869,727,000 $19,326,000 $255,494,000 $-168,629,000 $13,899,000
2023 $918,927,000 $914,242,000 $862,555,000 $22,796,000 $124,527,000 $-253,644,000 $-190,681,000
2022 $927,102,000 $1,655,035,000 $1,543,673,000 $77,713,000 $256,106,000 $-92,620,000 $236,216,000
2021 $931,574,000 $951,373,000 $802,013,000 $108,090,000 $98,292,000 $17,808,000 $47,951,000
2020 $502,298,000 $551,451,000 $452,341,000 $79,783,000 $156,743,000 $-10,085,000 $129,763,000
2019 $393,623,000 $588,916,000 $550,211,000 $41,725,000 $70,116,000 $-14,693,000 $33,166,000
2018 $268,290,000 $454,086,000 $428,602,000 $65,013,000 $51,723,000 $-23,395,000 $-51,950,000
2017 $176,594,000 $316,861,000 $301,024,000 $13,457,000 $25,691,000 $44,780,000 $58,032,000