Recent Annual Filings for COR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $67,101,667,000 $293,958,599,000 $291,954,624,000 $1,924,100,000 $3,484,685,000 $-2,330,994,000 $535,595,000
2023 $62,558,746,000 $262,173,411,000 $260,012,575,000 $2,119,410,000 $3,911,334,000 $-2,222,278,000 $-913,409,000
2020 $2,176,273,000 $606,824,000 $467,065,000 $78,986,000 $271,080,000 $-932,000 $2,495,000
2019 $2,100,999,000 $572,727,000 $431,911,000 $94,211,000 $251,585,000 $121,125,000 $449,000
2018 $1,853,667,000 $544,392,000 $437,639,000 $102,761,000 $258,761,000 $-5,766,000 $-2,648,000
2017 $1,532,659,000 $481,821,000 $381,156,000 $101,694,000 $209,356,000 $-34,574,000 $818,000
2016 $1,451,303,000 $400,352,000 $318,312,000 $82,549,000 $170,525,000 $191,252,000 $-2,425,000
2015 $1,162,543,000 $333,292,000 $276,270,000 $56,363,000 $142,573,000 $-18,848,000 $-3,808,000