Recent Annual Filings for CLST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $276,697,000 $13,862,000 $17,845,000 $590,000 $3,172,000 $4,295,000 $25,284,000
2023 $270,932,000 $9,661,000 $8,978,000 $2,439,000 $2,008,000 $3,798,000 $5,539,000
2022 $263,324,000 $8,014,000 $7,855,000 $-8,211,000 $772,000 $-14,041,000 $-27,412,000
2021 $285,349,000 $7,699,000 $5,285,000 $1,137,000 $3,428,000 $58,800,000 $15,639,000