Recent Annual Filings for CHRD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $6,926,150,000 $3,896,641,000 $2,620,695,000 $1,023,779,000 $1,819,851,000 $-664,698,000 $-275,153,000
2022 $6,631,081,000 $3,646,794,000 $2,067,872,000 $1,858,470,000 $1,924,026,000 $-823,096,000 $418,368,000