Recent Annual Filings for CDE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,080,848,000 $821,206,000 $889,662,000 $-114,624,000 $67,288,000 $236,053,000 $209,000
2022 $1,846,143,000 $785,636,000 $849,085,000 $-64,552,000 $25,616,000 $125,026,000 $4,880,000
2021 $1,734,422,000 $832,828,000 $829,192,000 $-21,398,000 $110,482,000 $158,136,000 $-35,881,000
2020 $1,403,977,000 $785,461,000 $722,789,000 $14,627,000 $148,709,000 $-46,535,000 $37,152,000
2019 $1,378,636,000 $711,502,000 $1,069,527,000 $-341,280,000 $91,880,000 $-60,896,000 $-61,051,000
2018 $1,712,500,000 $625,904,000 $691,639,000 $-48,379,000 $17,418,000 $-5,241,000 $-118,263,000
2017 $1,701,175,000 $709,598,000 $669,675,000 $3,688,000 $208,456,000 $135,745,000 $62,781,000
2016 $1,318,909,000 $665,777,000 $664,664,000 $56,586,000 $125,817,000 $-80,228,000 $-38,532,000