Recent Annual Filings for CIX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $163,044,000 $145,941,000 $124,204,000 $16,593,000 $22,939,000 $-39,418,000 $19,389,000
2023 $187,604,000 $161,287,000 $131,684,000 $22,604,000 $25,811,000 $-12,311,000 $14,645,000
2022 $177,387,000 $166,562,000 $139,249,000 $20,854,000 $16,891,000 $-35,624,000 $-49,831,000
2021 $192,452,000 $140,815,000 $119,092,000 $16,568,000 $10,474,000 $-11,240,000 $5,942,000
2020 $184,045,000 $114,537,000 $101,040,000 $10,323,000 $15,502,000 $-12,362,000
2019 $178,544,000 $124,243,000 $103,307,000 $15,998,000 $18,465,000 $-21,324,000
2018 $166,429,000 $118,217,000 $97,742,000 $15,325,000 $17,163,000 $-2,487,000 $15,759,000
2017 $150,959,000 $112,035,000 $94,871,000 $13,203,000 $12,583,000 $-2,485,000 $-3,498,000