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