Recent Annual Filings for CNXC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $12,491,827,000 $7,114,706,000 $6,706,478,000 $437,864,000 $678,008,000 $1,802,676,000 $359,024,000
2022 $6,669,768,000 $6,324,473,000 $5,719,470,000 $190,417,000 $600,720,000 $1,237,534,000 $-25,547,000
2021 $5,046,367,000 $5,587,015,000 $5,031,319,000 $338,865,000 $514,178,000 $-401,871,000 $26,659,000
2016 $504,296,000 $281,117,000 $255,266,000 $26,669,000 $73,098,000 $-35,666,000 $3,251,000
2015 $422,129,000 $261,609,000 $210,946,000 $49,190,000 $60,795,000 $-27,066,000 $6,528,000