Recent Annual Filings for CARV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $756,796,000 $2,958,000 $497,000 $-3,467,000 $-6,571,000 $43,097,000 $16,473,000
2023 $723,224,000 $2,899,000 $-9,954,000 $-10,513,000 $7,309,000 $-18,466,000
2022 $735,314,000 $4,982,000 $-4,334,000 $7,152,000 $57,354,000 $-14,573,000
2021 $676,748,000 $20,307,000 $-8,003,000 $2,212,000 $102,823,000 $28,051,000
2020 $578,770,000 $21,627,000 $-3,552,000 $-31,000 $619,000 $16,312,000
2019 $563,713,000 $23,230,000 $714,000 $-4,870,000 $-8,765,000 $-123,687,000 $-103,330,000
2018 $693,910,000 $24,359,000 $48,000 $4,568,000 $-4,985,000 $-3,292,000 $75,872,000
2017 $687,861,000 $26,126,000 $894,000 $-4,486,000 $827,000 $-46,565,000 $-4,502,000