Recent Annual Filings for CNXN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,299,354,000 $2,802,118,000 $2,684,631,000 $87,188,000 $173,868,000 $-25,218,000 $33,364,000
2023 $1,188,381,000 $2,850,644,000 $2,737,530,000 $83,352,000 $197,954,000 $-15,728,000 $22,024,000
2022 $1,099,826,000 $3,124,996,000 $3,003,361,000 $89,219,000 $34,889,000 $-11,192,000 $14,620,000
2021 $1,083,383,000 $2,892,595,000 $2,796,073,000 $69,906,000 $57,754,000 $-36,366,000 $12,655,000
2020 $1,015,373,000 $2,590,290,000 $2,517,094,000 $55,765,000 $36,098,000 $-19,470,000 $5,595,000
2019 $937,335,000 $2,820,034,000 $2,707,355,000 $82,111,000 $36,603,000 $-12,590,000 $-1,643,000
2018 $805,355,000 $2,699,489,000 $2,610,825,000 $64,592,000 $86,839,000 $-23,888,000 $41,713,000
2017 $747,851,000 $2,911,883,000 $2,834,258,000 $54,857,000 $19,320,000 $-6,707,000 $810,000