Recent Annual Filings for CHCO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,459,459,000 $71,992,000 $-72,524,000 $111,921,000 $131,896,000 $189,477,000 $69,113,000
2023 $6,168,052,000 $69,068,000 $-74,038,000 $135,314,000 $137,580,000 $-195,984,000 $-43,724,000
2022 $5,878,106,000 $68,099,000 $-59,235,000 $-43,677,000 $115,817,000 $-139,996,000 $-434,631,000
2021 $6,003,695,000 $64,930,000 $-46,264,000 $71,107,000 $102,273,000 $194,866,000 $105,972,000
2020 $5,758,640,000 $61,220,000 $-50,092,000 $114,988,000 $89,795,000 $584,006,000 $388,515,000
2019 $5,018,756,000 $63,767,000 $-49,720,000 $109,674,000 $98,643,000 $21,811,000 $17,153,000
2018 $4,899,012,000 $57,453,000 $-30,564,000 $63,821,000 $73,073,000 $131,376,000 $40,483,000
2017 $4,132,281,000 $142,930,000 $52,185,000 $56,677,000 $77,843,000 $89,931,000 $-5,631,000