Recent Annual Filings for CIA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,668,928,000 $240,680,000 $214,506,000 $43,326,000 $22,056,000 $-3,536,000 $4,024,000
2022 $1,569,970,000 $232,524,000 $239,591,000 $-319,409,000 $56,920,000 $-499,000 $-4,321,000
2021 $1,854,511,000 $250,546,000 $257,234,000 $26,024,000 $40,455,000 $-6,215,000 $-6,837,000
2020 $1,843,420,000 $238,856,000 $251,173,000 $40,150,000 $48,834,000 $904,000 $-12,074,000
2019 $1,744,936,000 $250,545,000 $244,800,000 $70,381,000 $72,223,000 $-2,165,000 $713,000
2018 $1,615,561,000 $244,006,000 $242,004,000 $-36,190,000 $84,620,000 $-58,000 $-572,000
2017 $1,644,453,000 $252,627,000 $255,613,000 $-25,587,000 $93,012,000 $2,547,000 $10,554,000
2016 $1,583,668,000 $245,406,000 $239,923,000 $2,174,000 $102,271,000 $2,489,000 $-47,317,000