Recent Annual Filings for CNR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2021 $5,827,460,000 $5,583,137,000 $4,681,310,000 $711,764,000 $-215,887,000 $-617,249,000 $-283,820,000
2020 $5,478,490,000 $4,617,369,000 $5,094,584,000 $-501,897,000 $308,417,000 $389,655,000 $578,171,000
2019 $5,564,346,000 $4,889,747,000 $4,900,362,000 $-36,975,000 $229,608,000 $17,540,000 $-45,300,000