Recent Annual Filings for CIVI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $14,944,120,000 $5,206,808,000 $4,124,113,000 $838,723,000 $2,865,228,000 $-1,244,335,000 $-1,050,989,000
2023 $14,097,319,000 $3,479,240,000 $2,479,786,000 $784,288,000 $2,238,760,000 $3,363,076,000 $358,681,000
2022 $7,971,399,000 $3,791,398,000 $2,137,620,000 $1,248,080,000 $2,477,041,000 $-657,368,000 $513,578,000
2021 $6,741,033,000 $930,614,000 $678,835,000 $178,921,000 $274,599,000 $-118,435,000 $229,711,000
2018 $1,127,192,000 $1,602,202,000 $1,587,920,000 $18,913,000 $106,671,000 $43,389,000 $871,000
2017 $1,049,382,000 $1,474,510,000 $1,466,315,000 $9,801,000 $96,920,000 $-14,652,000 $-43,386,000
2016 $1,092,048,000 $1,407,587,000 $1,384,840,000 $7,330,000 $107,122,000 $-10,703,000 $8,993,000
2015 $1,063,184,000 $1,366,946,000 $1,360,185,000 $1,368,000 $90,478,000 $-165,931,000 $-154,457,000