Recent Annual Filings for COFS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,723,243,000 $139,099,000 $106,010,000 $40,526,000 $48,646,000 $90,582,000 $41,318,000
2023 $2,576,706,000 $98,980,000 $73,413,000 $41,480,000 $46,482,000 $146,373,000 $11,490,000
2022 $2,385,915,000 $75,060,000 $47,402,000 $-45,581,000 $45,017,000 $57,536,000 $12,057,000
2021 $2,366,682,000 $64,618,000 $38,120,000 $8,437,000 $37,699,000 $436,043,000 $-47,632,000
2020 $1,919,342,000 $55,715,000 $36,830,000 $25,163,000 $8,478,000 $262,234,000 $19,961,000