Recent Annual Filings for CLMB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $469,179,000 $465,607,000 $440,589,000 $16,240,000 $33,743,000 $-12,961,000 $-5,646,000
2023 $335,098,000 $352,013,000 $335,232,000 $14,669,000 $42,123,000 $-8,950,000 $16,050,000
2022 $231,856,000 $304,348,000 $287,816,000 $9,879,000 $4,561,000 $-1,832,000 $-9,027,000