Recent Annual Filings for CIFR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $855,446,000 $151,270,000 $195,587,000 $-44,635,000 $-87,511,000 $213,512,000 $-66,128,000
2023 $566,137,000 $126,842,000 $149,052,000 $-25,777,000 $-94,241,000 $115,664,000 $74,178,000
2022 $418,463,000 $3,037,000 $40,250,000 $-39,053,000 $-20,915,000 $-3,090,000 $-197,914,000
2021 $354,167,218 $-72,152,564 $-31,665,933 $361,647,180 $209,841,257