Recent Annual Filings for CLW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,679,200,000 $1,383,600,000 $1,448,100,000 $192,500,000 $61,400,000 $-191,400,000 $37,700,000
2023 $1,671,800,000 $2,082,800,000 $1,905,700,000 $110,300,000 $190,700,000 $-129,400,000 $-12,400,000
2022 $1,703,500,000 $2,080,100,000 $1,966,200,000 $55,300,000 $150,200,000 $-88,600,000 $28,100,000
2021 $1,690,100,000 $1,772,600,000 $1,760,600,000 $-16,300,000 $96,400,000 $-82,000,000 $-10,700,000
2020 $1,800,400,000 $1,868,600,000 $1,710,400,000 $82,300,000 $247,000,000 $-192,900,000 $14,500,000
2019 $1,877,700,000 $1,761,500,000 $1,716,100,000 $2,200,000 $55,600,000 $82,000,000 $-2,500,000
2018 $1,788,118,000 $1,724,218,000 $1,822,127,000 $-154,280,000 $168,899,000 $63,281,000 $8,209,000
2017 $1,802,252,000 $1,730,408,000 $1,658,080,000 $105,109,000 $177,670,000 $13,864,000 $-7,263,000