Recent Annual Filings for CNS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $736,554,000 $489,637,000 $309,386,000 $132,125,000 $171,961,000 $-119,052,000 $-59,111,000
2022 $673,379,000 $566,906,000 $370,009,000 $166,144,000 $61,680,000 $8,975,000 $63,358,000
2021 $492,687,000 $583,832,000 $301,888,000 $209,644,000 $242,901,000 $-145,426,000 $144,124,000
2020 $348,453,000 $427,536,000 $334,149,000 $78,776,000 $89,186,000 $-148,895,000 $-61,479,000
2019 $402,419,000 $410,830,000 $223,281,000 $135,618,000 $141,445,000 $-170,130,000 $7,264,000
2018 $432,551,000 $381,111,000 $237,332,000 $111,339,000 $72,598,000 $-118,110,000 $-98,706,000
2017 $410,125,000 $378,194,000 $217,794,000 $94,153,000 $64,253,000 $-60,423,000 $9,539,000
2016 $333,728,000 $349,876,000 $206,473,000 $90,894,000 $114,958,000 $-74,542,000 $43,314,000