Recent Annual Filings for CHPT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $898,175,000 $417,083,000 $689,777,000 $-286,573,000 $-146,947,000 $28,538,000 $-132,839,000
2024 $1,103,363,000 $506,639,000 $964,269,000 $-457,151,000 $-328,941,000 $306,524,000 $63,248,000
2023 $1,079,957,000 $468,094,000 $815,369,000 $-353,273,000 $-267,049,000 $372,859,000 $-21,073,000
2022 $855,897,000 $241,006,000 $376,177,000 $-140,615,000 $-157,178,000 $549,687,000 $169,744,000