Recent Annual Filings for COHN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $971,149,000 $79,598,000 $87,621,000 $8,022,000 $9,475,000 $-16,717,000 $9,264,000
2023 $772,761,000 $82,981,000 $76,120,000 $10,485,000 $-39,660,000 $-17,105,000 $-18,642,000
2022 $887,055,000 $44,387,000 $72,350,000 $-58,876,000 $-23,488,000 $-11,504,000 $-21,194,000
2021 $3,654,259,000 $146,368,000 $106,775,000 $71,734,000 $18,321,000 $13,161,000 $8,948,000
2020 $6,149,379,000 $130,110,000 $87,782,000 $38,591,000 $41,435,000 $3,789,000 $33,276,000
2019 $8,001,624,000 $49,666,000 $45,625,000 $-3,575,000 $-15,463,000 $5,936,000 $-5,802,000
2018 $5,654,452,000 $49,386,000 $45,727,000 $-4,105,000 $-6,999,000 $-3,722,000 $-8,827,000
2017 $2,036,258,000 $47,542,000 $40,140,000 $2,744,000 $-11,916,000 $23,118,000 $7,717,000