Recent Annual Filings for CECO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $759,699,000 $750,000,000 $732,309,000 $16,254,000 $24,828,000 $65,910,000 $-17,247,000
2023 $600,291,000 $544,845,000 $523,320,000 $16,223,000 $44,647,000 $21,144,000 $8,863,000
2022 $504,721,000 $422,627,000 $398,938,000 $12,337,000 $29,649,000 $38,176,000 $14,590,000
2019 $599,146,000 $627,704,000 $541,242,000 $70,624,000 $73,085,000 $-4,841,000 $75,943,000
2018 $482,493,000 $581,296,000 $509,998,000 $55,047,000 $56,987,000 $-1,663,000 $13,832,000
2017 $447,096,000 $596,435,000 $562,299,000 $-31,803,000 $-21,789,000 $1,535,000 $-31,983,000
2016 $559,601,000 $704,392,000 $736,736,000 $-18,090,000 $5,912,000 $11,219,000 $-17,412,000
2015 $610,915,000 $847,273,000 $939,441,000 $51,858,000 $-21,686,000 $2,518,000 $-26,913,000