Recent Annual Filings for CLAR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $294,094,000 $264,315,000 $334,900,000 $-61,405,000 $-7,300,000 $-123,239,000 $34,621,000
2023 $495,338,000 $286,020,000 $306,099,000 $-7,875,000 $31,924,000 $-20,255,000 $253,000
2022 $518,145,000 $448,106,000 $525,237,000 $-82,415,000 $14,610,000 $-13,858,000 $-6,999,000
2021 $631,827,000 $375,794,000 $361,915,000 $20,543,000 $-304,000 $180,677,000 $1,676,000
2020 $280,691,000 $224,007,000 $220,422,000 $6,348,000 $29,392,000 $22,254,000 $16,086,000
2019 $230,265,000 $229,437,000 $219,456,000 $18,192,000 $9,522,000 $-6,286,000 $-783,000
2018 $213,128,000 $212,141,000 $205,668,000 $7,279,000 $11,393,000 $-6,559,000 $630,000
2017 $207,449,000 $170,687,000 $176,447,000 $831,000 $-8,920,000 $-2,057,000 $-92,882,000