Recent Annual Filings for CMCO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,825,945,000 $1,013,540,000 $952,013,000 $44,991,000 $67,198,000 $48,201,000 $-19,050,000
2023 $1,698,455,000 $936,240,000 $861,765,000 $60,285,000 $83,636,000 $-49,987,000 $17,786,000
2022 $1,685,707,000 $906,555,000 $868,109,000 $39,747,000 $48,881,000 $420,700,000 $-86,737,000
2021 $1,150,432,000 $649,642,000 $639,566,000 $63,470,000 $98,890,000 $-10,189,000 $87,677,000
2020 $1,093,272,000 $809,162,000 $732,006,000 $28,374,000 $106,795,000 $-51,551,000 $43,357,000
2019 $1,061,571,000 $876,282,000 $823,384,000 $19,665,000 $79,499,000 $-67,778,000 $7,778,000
2018 $1,142,446,000 $839,419,000 $789,734,000 $60,271,000 $69,661,000 $-59,502,000 $-14,570,000
2017 $1,113,843,000 $637,123,000 $624,096,000 $6,267,000 $60,450,000 $190,121,000 $25,988,000