Recent Annual Filings for CNK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,049,500,000 $2,796,700,000 $312,900,000
2023 $3,066,700,000 $2,845,300,000 $191,500,000
2022 $2,454,700,000 $2,719,700,000 $-268,000,000
2021 $5,230,650,000 $1,510,464,000 $1,762,936,000 $-422,571,000 $166,219,000 $-19,930,000 $56,993,000
2020 $5,562,922,000 $686,310,000 $1,441,284,000 $-679,860,000 $-330,098,000 $584,408,000 $170,944,000
2019 $5,828,017,000 $3,283,099,000 $2,944,712,000 $172,743,000 $561,995,000 $-186,506,000 $64,847,000
2018 $4,481,838,000 $3,221,735,000 $2,833,384,000 $149,062,000 $556,915,000 $-192,648,000 $-96,325,000
2017 $4,470,893,000 $2,991,547,000 $2,599,265,000 $261,301,000 $528,477,000 $-157,487,000 $-38,688,000