Recent Annual Filings for CRBP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $155,879,000 $6,311,000 $46,520,000 $-40,173,000 $-41,794,000 $166,578,000 $3,474,000
2023 $28,272,393 $-2,923,974 $41,679,342 $-44,478,780 $-36,100,473 $-2,820,522 $-3,279,034
2022 $66,311,940 $-42,410,550 $-37,544,435 $-533,615 $-8,003,917
2021 $107,730,253 $881,705 $46,522,131 $-45,702,871 $-48,183,697 $60,823,413 $-60,776,809
2020 $102,294,931 $3,937,230 $126,747,463 $-111,269,380 $-99,685,703 $154,874,849 $54,704,655
2019 $49,142,499 $36,143,568 $113,248,147 $-71,453,718 $-45,720,728 $38,463,487 $-9,999,782
2018 $46,989,341 $4,822,272 $61,569,979 $-55,672,139 $-30,067,255 $11,419,653 $-20,948,018
2017 $66,978,161 $2,440,195 $35,003,011 $-32,421,612 $-27,796,628 $76,008,286 $47,504,229