Recent Annual Filings for CHCI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $64,867,000 $51,294,000 $41,007,000 $14,560,000 $10,675,000 $-352,000 $9,973,000
2023 $49,939,000 $44,721,000 $35,557,000 $7,784,000 $9,003,000 $-390,000 $7,066,000
2022 $42,473,000 $39,313,000 $31,361,000 $7,347,000 $8,092,000 $-10,094,000 $-4,101,000
2021 $43,602,000 $31,093,000 $26,028,000 $13,609,000 $8,688,000 $-227,000 $9,737,000
2020 $28,579,000 $28,726,000 $26,426,000 $2,082,000 $3,436,000 $-1,586,000 $3,521,000
2019 $19,933,000 $25,317,000 $23,851,000 $1,206,000 $8,394,000 $-5,882,000 $2,657,000
2018 $35,100,000 $56,749,000 $61,715,000 $-4,046,000 $16,252,000 $-12,147,000 $4,064,000
2017 $51,158,000 $45,430,000 $50,170,000 $-4,778,000 $5,064,000 $-8,185,000 $-3,955,000