Recent Annual Filings for CENX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,846,500,000 $2,185,400,000 $2,252,200,000 $-56,200,000 $105,600,000 $-13,000,000 $34,800,000
2022 $1,472,000,000 $2,777,300,000 $2,743,900,000 $-25,800,000 $25,900,000 $74,400,000 $14,800,000
2021 $1,569,900,000 $2,212,500,000 $2,410,100,000 $-130,600,000 $-64,700,000 $103,700,000 $-43,600,000
2020 $1,399,600,000 $1,605,100,000 $1,731,400,000 $-132,200,000 $42,900,000 $13,500,000 $44,600,000
2019 $1,499,700,000 $1,836,600,000 $1,922,100,000 $-90,600,000 $17,700,000 $21,100,000
2018 $1,537,500,000 $1,893,200,000 $1,963,800,000 $-73,200,000 $-69,100,000 $23,700,000 $-128,300,000
2017 $1,581,641,000 $1,589,080,000 $1,533,709,000 $70,731,000 $51,759,000 $404,000 $34,808,000
2016 $1,540,327,000 $1,319,094,000 $1,569,959,000 $-253,658,000 $38,173,000 $17,010,000