Recent Annual Filings for CCIX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $299,124,430 $-786,753 $44,020 $8,791,874 $-1,319,931 $290,232,495 $2,412,564
2012 $449,340,000 $914,581,000 $878,968,000 $23,656,000 $46,523,000 $18,560,000 $-184,000
2011 $405,736,000 $867,356,000 $841,933,000 $17,274,000 $24,936,000 $26,291,000 $-23,708,000