Recent Annual Filings for CRGX
Fiscal Year | Assets | Revenues | Costs & Expenses | Comprehensive Income | Cash Flow - Operating | Cash Flow - Financing | Total Net Cash Flow |
---|---|---|---|---|---|---|---|
2024 | $414,054,000 | — | — | $-167,211,000 | $-139,742,000 | $103,469,000 | $-341,352,000 |
2023 | $453,036,000 | — | — | $-98,147,000 | $-81,164,000 | $494,583,000 | $404,427,000 |