Recent Annual Filings for CRAI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $571,439,000 $687,414,000 $621,172,000 $43,784,000 $49,735,000 $-48,857,000 $-18,875,000
2023 $553,211,000 $623,976,000 $571,688,000 $41,280,000 $60,072,000 $-44,482,000 $14,139,000
2022 $550,917,000 $590,901,000 $532,101,000 $38,588,000 $25,121,000 $-38,952,000 $-34,683,000
2020 $558,510,000 $508,373,000 $474,751,000 $27,787,000 $54,663,000 $-19,500,000 $20,038,000
2019 $533,243,000 $451,370,000 $424,573,000 $21,578,000 $27,832,000 $-23,818,000 $-12,389,000
2018 $370,846,000 $417,648,000 $388,715,000 $19,774,000 $36,189,000 $-35,747,000 $-16,007,000
2017 $361,757,000 $370,075,000 $354,911,000 $11,623,000 $45,858,000 $-21,851,000 $505,000
2016 $323,642,000 $324,779,000 $302,890,000 $9,665,000 $48,163,000 $-19,190,000 $15,391,000