Recent Annual Filings for CEP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $102,369,517 $1,632,427 $-137,586 $100,162,586 $25,000
2013 $174,533,000 $44,077,000 $69,934,000 $-28,543,000 $15,204,000 $-34,438,000 $2,935,000
2012 $228,022,000 $59,335,000 $145,878,000 $-91,980,000 $13,606,000 $-14,655,000 $-15,201,000
2011 $334,306,000 $105,217,000 $85,631,000 $14,103,000 $87,690,000 $-67,693,000 $9,284,000