Recent Annual Filings for COUR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $930,274,000 $694,674,000 $773,175,000 $-79,589,000 $95,361,000 $-54,944,000 $70,318,000
2023 $920,533,000 $635,764,000 $746,947,000 $-115,777,000 $29,639,000 $-79,229,000 $335,208,000
2022 $947,597,000 $523,756,000 $694,393,000 $-175,823,000 $-38,051,000 $12,234,000 $-259,841,000
2021 $958,910,000 $415,287,000 $558,376,000 $-145,487,000 $1,746,000 $550,156,000 $500,293,000