Recent Annual Filings for CLVT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $12,706,800,000 $2,628,800,000 $3,363,500,000 $-740,600,000 $744,200,000 $-496,500,000 $13,900,000
2022 $13,944,900,000 $2,659,800,000 $6,585,400,000 $-4,952,800,000 $509,300,000 $-759,200,000 $-230,800,000
2021 $20,182,979,000 $1,876,894,000 $1,963,874,000 $-436,075,000 $323,767,000 $4,032,160,000 $173,149,000