Recent Annual Filings for CMPR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,892,157,000 $3,291,856,000 $3,163,410,000 $182,480,000 $350,722,000 $-222,552,000 $73,462,000
2023 $1,854,859,000 $3,079,627,000 $3,109,849,000 $-178,369,000 $130,289,000 $-177,106,000 $-146,740,000
2022 $2,167,672,000 $2,887,555,000 $2,878,224,000 $-29,901,000 $219,536,000 $-106,572,000 $94,030,000
2021 $2,182,498,000 $2,592,513,000 $2,648,549,000 $-63,631,000 $265,221,000 $224,128,000 $138,002,000
2020 $1,815,006,000 $2,481,358,000 $2,478,355,000 $74,937,000 $338,444,000 $-258,255,000 $9,742,000
2019 $1,868,376,000 $2,751,076,000 $2,624,164,000 $80,466,000 $331,095,000 $81,989,000 $-8,948,000
2018 $1,652,217,000 $2,613,545,000 $2,547,179,000 $92,854,000 $192,332,000 $-177,757,000 $18,530,000
2017 $1,679,869,000 $2,135,405,000 $2,214,722,000 $-78,102,000 $156,736,000 $104,578,000 $-51,729,000