Recent Annual Filings for CKX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $18,847,237 $1,521,124 $1,404,132 $250,224 $204,761 $-208,854 $-4,125,113
2023 $18,813,406 $1,485,605 $1,363,781 $142,961 $876,953 $-87,156 $398,482
2022 $17,687,590 $1,105,494 $2,948,034 $-1,317,718 $413,691 $-176,592 $-261,666
2021 $17,055,087 $744,545 $-318,765 $819,349 $-263,673 $-946,618
2020 $16,316,697 $671,944 $292,891 $339,383 $140,165 $-3,182,966
2019 $15,862,530 $811,271 $619,665 $249,933 $194,711 $-1,419,553
2018 $15,602,001 $1,194,763 $-173,588 $1,115,060 $241,562 $-233,099 $208,332
2017 $14,723,737 $1,144,585 $603,456 $522,863 $404,253 $-194,250 $571,216