Recent Annual Filings for CPK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,577,000,000 $787,200,000 $625,400,000 $119,700,000 $239,400,000 $113,500,000 $3,000,000
2023 $3,304,704,000 $670,604,000 $555,314,000 $85,853,000 $203,482,000 $906,609,000 $-1,300,000
2022 $2,215,037,000 $680,704,000 $557,076,000 $87,114,000 $158,882,000 $-21,206,000 $1,228,000
2021 $2,114,869,000 $569,968,000 $457,270,000 $87,634,000 $150,504,000 $73,996,000 $1,477,000
2020 $1,932,487,000 $488,198,000 $394,018,000 $74,900,000 $158,916,000 $19,229,000 $-3,486,000
2019 $1,783,198,000 $479,604,000 $397,371,000 $65,714,000 $102,964,000 $84,519,000 $896,000
2018 $1,693,671,000 $717,489,000 $639,915,000 $55,046,000 $146,778,000 $139,961,000 $475,000
2017 $1,417,434,000 $617,583,000 $545,150,000 $58,730,000 $110,089,000 $78,242,000 $1,436,000