Recent Annual Filings for CCS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,532,472,000 $4,398,288,000 $3,958,228,000 $333,816,000 $125,695,000 $40,315,000 $-66,680,000
2023 $4,139,362,000 $3,692,185,000 $3,341,355,000 $259,224,000 $41,628,000 $23,863,000 $-66,489,000
2022 $3,773,767,000 $4,505,916,000 $3,829,016,000 $525,126,000 $315,347,000 $-274,832,000 $-13,749,000
2021 $3,496,876,000 $4,216,314,000 $3,575,192,000 $498,504,000 $-201,153,000 $131,789,000 $-75,840,000
2020 $2,845,093,000 $3,161,192,000 $2,890,952,000 $206,157,000 $340,578,000 $7,387,000 $339,560,000
2019 $2,499,967,000 $2,535,911,000 $2,403,276,000 $112,994,000 $-68,807,000 $105,170,000 $22,080,000
2018 $2,254,255,000 $2,147,413,000 $2,018,883,000 $96,455,000 $-195,578,000 $181,842,000 $-57,272,000
2017 $1,735,022,000 $1,423,799,000 $1,339,635,000 $50,295,000 $-114,648,000 $308,476,000 $59,382,000