Recent Annual Filings for CBL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,405,905,000 $535,286,000 $439,621,000 $4,868,000 $183,516,000 $-204,090,000 $-18,873,000
2022 $2,678,243,000 $563,011,000 $516,037,000 $-94,533,000 $208,234,000 $-145,798,000 $-94,249,000
2021 $2,945,979,000 $576,875,000 $595,338,000 $-622,175,000 $164,108,000 $-158,110,000 $114,476,000
2019 $4,622,346,000 $768,696,000 $853,945,000 $-131,721,000 $273,408,000 $-296,448,000 $1,546,000
2018 $5,340,853,000 $858,557,000 $-99,229,000
2017 $5,704,808,000 $927,252,000 $694,690,000 $158,982,000
2016 $6,104,640,000 $1,028,257,000 $774,629,000 $195,531,000
2015 $6,479,991,000 $1,055,018,000 $777,434,000 $119,015,000