Recent Annual Filings for CENT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,378,648,000 $3,310,100,000 $3,147,655,000 $127,272,000 $381,634,000 $-37,553,000 $310,689,000
2022 $3,282,002,000 $3,338,600,000 $3,139,694,000 $149,358,000 $-34,030,000 $-66,815,000 $-247,338,000
2021 $3,116,680,000 $3,303,700,000 $3,108,892,000 $153,351,000 $250,844,000 $420,475,000 $-226,875,000
2020 $2,339,364,000 $2,695,509,000 $2,541,771,000 $121,787,000 $264,273,000 $-60,560,000 $155,696,000
2019 $2,025,020,000 $2,383,010,000 $2,263,759,000 $92,189,000 $204,974,000 $-110,765,000 $17,696,000
2018 $1,907,209,000 $2,215,362,000 $2,087,937,000 $123,853,000 $114,112,000 $474,783,000 $449,709,000
2017 $1,306,906,000 $2,054,500,000 $1,928,071,000 $80,073,000 $114,309,000 $-10,392,000 $-60,585,000
2016 $1,212,193,000 $1,829,000,000 $1,759,362,000 $44,127,000 $151,426,000 $-14,165,000 $45,398,000