Recent Annual Filings for CLNE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,243,891,000 $415,865,000 $452,218,000 $-85,867,000 $64,579,000 $-1,944,000 $-15,401,000
2023 $1,259,458,000 $425,159,000 $501,559,000 $-98,495,000 $43,777,000 $139,121,000 $-18,987,000
2022 $1,082,357,000 $420,164,000 $471,871,000 $-61,690,000 $66,731,000 $101,649,000 $19,494,000
2021 $957,070,000 $255,646,000 $350,694,000 $-95,568,000 $41,298,000 $152,832,000 $-13,521,000
2020 $715,027,000 $291,724,000 $301,568,000 $-10,172,000 $61,041,000 $-18,657,000 $66,755,000
2019 $777,085,000 $344,065,000 $334,137,000 $13,831,000 $12,279,000 $7,685,000 $18,598,000
2018 $699,082,000 $346,419,000 $342,524,000 $-10,434,000 $37,982,000 $-95,209,000 $-2,584,000
2017 $791,912,000 $341,599,000 $476,046,000 $-64,603,000 $-5,427,000 $-43,163,000 $852,000