Recent Annual Filings for CRBU

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $313,313,000 $9,994,000 $159,108,000 $-148,880,000 $-138,200,000 $16,724,000 $-34,869,000
2023 $432,209,000 $34,477,000 $136,354,000 $-100,522,000 $-93,291,000 $154,298,000 $-7,176,000
2022 $373,765,000 $13,851,000 $113,202,000 $-100,804,000 $-90,966,000 $2,133,000 $-182,082,000
2021 $442,356,000 $9,598,000 $76,200,000 $-67,058,000 $-32,519,000 $433,429,000 $224,513,000