Recent Annual Filings for CARS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,172,449,000 $689,183,000 $671,078,000 $119,393,000 $136,720,000 $-31,748,000 $7,483,000
2022 $1,024,870,000 $653,876,000 $631,300,000 $19,208,000 $128,511,000 $-51,488,000 $-7,354,000
2021 $1,007,205,000 $623,683,000 $614,200,000 $12,521,000 $138,003,000 $-127,203,000 $-28,650,000
2020 $1,075,712,000 $547,503,000 $1,483,912,000 $-816,282,000 $138,616,000 $-67,734,000 $54,170,000
2019 $2,027,991,000 $606,682,000 $1,081,961,000 $-452,966,000 $101,484,000 $-91,542,000 $-11,914,000
2018 $2,600,549,000 $662,127,000 $605,198,000 $38,809,000 $163,548,000 $12,727,000 $4,900,000
2017 $2,511,039,000 $626,262,000 $504,100,000 $224,443,000 $185,929,000 $-141,488,000 $11,667,000