Recent Annual Filings for CNNE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,686,700,000 $499,700,000 $688,900,000 $-325,900,000 $-87,800,000 $-106,800,000 $-141,500,000
2022 $3,125,500,000 $483,400,000 $806,700,000 $-440,500,000 $-205,100,000 $-154,200,000 $161,900,000
2021 $3,889,600,000 $452,500,000 $875,700,000 $-288,700,000 $-176,100,000 $-190,400,000 $-638,900,000
2020 $4,613,400,000 $2,965,100,000 $774,200,000 $1,800,800,000 $-113,900,000 $379,100,000 $191,000,000
2019 $2,092,200,000 $1,443,300,000 $1,187,600,000 $73,100,000 $-84,200,000 $319,100,000 $210,700,000
2018 $1,459,500,000 $1,378,500,000 $1,359,900,000 $9,300,000 $-22,900,000 $-86,400,000 $77,400,000
2017 $1,487,200,000 $1,179,700,000 $1,254,900,000 $89,600,000 $-90,700,000 $98,200,000 $99,200,000