Recent Annual Filings for CLSK
Fiscal Year |
Assets |
Revenues |
Costs & Expenses |
Comprehensive Income |
Cash Flow - Operating |
Cash Flow - Financing |
Total Net Cash Flow |
2024 |
$1,962,662,000 |
$378,968,000 |
$528,011,000 |
— |
$-233,662,000 |
$1,249,123,000 |
$95,063,000 |
2023 |
$761,578,000 |
$168,408,000 |
$299,451,000 |
— |
$-30,394,000 |
$371,075,000 |
$8,752,000 |
2022 |
$452,624,772 |
$131,524,445 |
$169,389,366 |
— |
$71,444,093 |
$141,959,688 |
$2,422,243 |
2021 |
$317,473,121 |
$49,438,115 |
$78,015,168 |
$-21,994,904 |
$-35,429,342 |
$268,058,393 |
$14,914,125 |
2020 |
$22,340,063 |
$10,028,701 |
$25,171,817 |
— |
$-6,642,734 |
$4,313,702 |
$-4,712,655 |