Recent Annual Filings for CNTY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,359,662,000 $550,206,000 $574,038,000 $-14,725,000 $24,055,000 $149,857,000 $-30,541,000
2022 $884,967,000 $430,529,000 $424,519,000 $3,931,000 $37,397,000 $161,162,000 $94,090,000
2021 $703,358,000 $388,506,000 $360,357,000 $21,283,000 $59,190,000 $-4,713,000 $44,364,000
2020 $680,760,000 $304,268,000 $347,556,000 $-44,721,000 $9,005,000 $3,129,000 $8,037,000
2019 $726,900,000 $218,227,000 $230,194,000 $-11,166,000 $18,780,000 $113,869,000 $9,356,000
2018 $278,825,000 $168,938,000 $163,015,000 $-4,954,000 $22,329,000 $7,153,000 $-30,160,000
2017 $274,876,000 $164,455,000 $152,004,000 $15,835,000 $19,446,000 $29,242,000 $37,424,000
2016 $217,838,000 $148,177,000 $132,577,000 $13,423,000 $22,257,000 $15,557,000 $9,471,000