Recent Annual Filings for CFFI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,563,374,000 $127,313,000 $103,180,000 $22,001,000 $38,488,000 $100,579,000 $-9,573,000
2023 $2,438,498,000 $127,322,000 $98,158,000 $34,017,000 $38,811,000 $66,026,000 $48,498,000
2022 $2,332,317,000 $121,946,000 $84,982,000 $-5,502,000 $90,559,000 $79,636,000 $-241,084,000
2021 $2,264,521,000 $134,532,000 $96,450,000 $28,991,000 $157,387,000 $162,382,000 $181,076,000
2020 $2,086,310,000 $152,331,000 $123,112,000 $22,718,000 $-80,374,000 $184,896,000 $-78,764,000
2019 $1,657,432,000 $127,022,000 $103,090,000 $21,273,000 $-15,164,000 $101,513,000 $50,420,000
2018 $1,521,411,000 $118,306,000 $95,765,000 $15,235,000 $47,122,000 $-4,009,000 $-4,410,000
2017 $1,509,056,000 $116,332,000 $98,366,000 $6,003,000 $26,591,000 $49,799,000 $16,222,000