Recent Annual Filings for CIVB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,098,469,000 $19,123,000 $-17,451,000 $25,856,000 $48,246,000 $213,304,000 $2,749,000
2023 $3,861,418,000 $30,448,000 $-20,165,000 $53,479,000 $62,698,000 $266,131,000 $17,045,000
2022 $3,537,830,000 $24,536,000 $-22,499,000 $-27,438,000 $25,183,000 $164,303,000 $-220,878,000
2021 $3,011,983,000 $19,635,000 $-27,928,000 $34,747,000 $40,761,000 $216,925,000 $127,190,000
2020 $2,762,918,000 $16,947,000 $-20,185,000 $39,937,000 $32,207,000 $398,802,000 $90,987,000
2019 $2,309,557,000 $17,782,000 $-21,779,000 $42,204,000 $39,526,000 $116,739,000 $5,756,000
2018 $2,138,954,000 $15,313,000 $-1,466,000 $14,089,000 $19,957,000 $16,421,000 $2,260,000
2017 $1,525,857,000 $58,594,000 $36,362,000 $17,284,000 $20,819,000 $129,185,000 $3,824,000