Recent Annual Filings for CNFR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $281,656,000 $67,271,000 $103,351,000 $25,375,000 $-29,484,000 $-21,086,000 $12,540,000
2023 $311,804,000 $98,758,000 $124,402,000 $-22,229,000 $-13,392,000 $-3,246,000 $-16,910,000
2022 $312,350,000 $104,889,000 $125,379,000 $-26,774,000 $-40,474,000 $2,093,000 $18,122,000
2021 $290,404,000 $115,963,000 $117,673,000 $-4,116,000 $5,355,000 $-5,012,000 $1,720,000
2020 $261,597,000 $103,488,000 $103,726,000 $1,018,000 $2,982,000 $5,084,000 $729,000
2019 $247,265,000 $95,998,000 $105,119,000 $-4,721,000 $15,361,000 $6,324,000 $-3,328,000
2018 $232,752,000 $98,911,000 $108,376,000 $-10,997,000 $-17,008,000 $3,710,000 $-1,076,000
2017 $239,032,000 $96,837,000 $118,891,000 $-20,825,000 $9,090,000 $16,239,000 $-625,000