Recent Annual Filings for CRGY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,160,649,000 $2,930,919,000 $3,099,674,000 $-137,683,000 $1,223,086,000 $207,392,000 $232,179,000
2023 $6,803,335,000 $2,382,602,000 $2,037,384,000 $321,991,000 $935,769,000 $456,456,000 $-6,575,000
2022 $6,019,849,000 $3,057,065,000 $2,540,174,000 $480,600,000 $1,012,372,000 $-7,841,000 $-119,813,000
2021 $5,157,462,000 $1,476,977,000 $1,909,510,000 $-432,227,000 $233,147,000 $105,145,000 $93,697,000