Recent Annual Filings for CHMG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,776,147,000 $127,564,000 $97,479,000 $24,619,000 $29,815,000 $38,096,000 $10,188,000
2023 $2,710,529,000 $113,074,000 $81,573,000 $34,244,000 $30,881,000 $32,478,000 $-19,022,000
2022 $2,645,553,000 $81,475,000 $44,586,000 $-39,944,000 $35,047,000 $246,461,000 $28,888,000
2021 $2,418,475,000 $69,008,000 $35,248,000 $17,494,000 $35,461,000 $125,466,000 $-81,557,000
2020 $2,279,451,000 $66,907,000 $43,038,000 $27,462,000 $28,659,000 $453,823,000 $-13,366,000
2019 $1,787,827,000 $66,932,000 $47,889,000 $21,221,000 $26,405,000 $-1,762,000 $-8,068,000
2018 $1,755,343,000 $64,553,000 $40,918,000 $18,757,000 $27,772,000 $27,552,000 $99,243,000
2017 $1,707,620,000 $60,055,000 $45,363,000 $9,681,000 $23,645,000 $39,564,000 $-43,433,000