Recent Annual Filings for CCRN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $589,251,000 $1,344,004,000 $1,360,869,000 $-14,612,000 $120,116,000 $-46,849,000 $64,539,000
2023 $679,317,000 $2,019,728,000 $1,907,015,000 $72,633,000 $248,498,000 $-221,241,000 $13,490,000
2022 $947,839,000 $2,806,609,000 $2,533,501,000 $188,367,000 $134,050,000 $-87,599,000 $2,568,000
2021 $732,809,000 $1,676,652,000 $1,537,348,000 $131,989,000 $-85,618,000 $119,094,000 $-564,000
2020 $356,973,000 $836,417,000 $845,577,000 $-12,182,000 $27,204,000 $-22,010,000 $568,000
2019 $382,374,000 $822,224,000 $837,935,000 $-55,721,000 $5,542,000 $-17,599,000 $-14,987,000
2018 $427,003,000 $816,484,000 $829,364,000 $-16,014,000 $20,997,000 $-23,767,000 $-9,518,000
2017 $467,687,000 $865,048,000 $853,300,000 $38,877,000 $45,508,000 $50,756,000 $4,907,000