Recent Annual Filings for CRD.A

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $799,199,000 $1,316,919,000 $1,261,389,000 $26,922,000 $103,790,000 $-54,680,000 $12,900,000
2022 $791,507,000 $1,231,226,000 $1,227,741,000 $-53,145,000 $27,634,000 $25,940,000 $-7,044,000
2021 $852,639,000 $1,139,231,000 $1,098,839,000 $48,955,000 $54,321,000 $24,657,000 $9,033,000
2020 $752,984,000 $1,016,195,000 $976,239,000 $34,349,000 $93,178,000 $-74,369,000 $-7,146,000
2019 $760,013,000 $1,047,627,000 $1,020,753,000 $18,384,000 $75,216,000 $-53,406,000 $-1,317,000
2018 $701,442,000 $1,122,979,000 $1,081,861,000 $4,821,000 $52,419,000 $-58,739,000 $-892,000
2017 $787,936,000 $1,163,709,000 $1,122,572,000 $41,713,000 $40,757,000 $10,343,000 $-27,558,000
2015 $783,406,000 $1,241,520,000 $1,274,046,000 $-47,016,000 $61,655,000 $67,889,000 $23,610,000