Recent Annual Filings for CMPO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $473,918,000 $420,571,000 $501,546,000 $-85,610,000 $129,553,000 $-83,363,000 $36,245,000
2023 $201,041,000 $390,629,000 $273,553,000 $109,228,000 $104,312,000 $-65,794,000 $27,574,000
2022 $162,943,000 $378,476,000 $242,301,000 $140,098,000 $92,783,000 $-92,032,000 $-8,302,000
2021 $131,354,000 $267,948,000 $185,391,000 $83,414,000 $77,780,000 $-64,512,000 $8,522,000