Recent Annual Filings for CLB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $590,406,000 $523,848,000 $477,661,000 $31,356,000 $56,388,000 $-45,957,000 $4,037,000
2023 $586,395,000 $509,790,000 $468,580,000 $35,830,000 $24,789,000 $-18,445,000 $-308,000
2022 $578,354,000 $489,735,000 $459,781,000 $26,014,000 $24,956,000 $-23,375,000 $-2,275,000
2021 $580,853,000 $470,252,000 $434,142,000 $17,286,000 $36,579,000 $-22,459,000 $3,897,000
2020 $568,579,000 $487,267,000 $578,444,000 $-98,367,000 $57,868,000 $-63,005,000 $2,714,000
2019 $774,673,000 $668,210,000 $586,216,000 $101,243,000 $89,527,000 $-85,874,000 $-2,024,000
2018 $648,827,000 $700,846,000 $595,552,000 $82,686,000 $111,827,000 $-42,472,000 $-1,284,000
2017 $584,812,000 $558,103,000 $84,571,000 $124,271,000 $-104,078,000 $-364,000