Recent Annual Filings for CRIS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $41,265,000 $10,908,000 $55,450,000 $-43,618,000 $-39,563,000 $3,437,000 $-6,684,000
2023 $77,282,000 $10,023,000 $58,355,000 $-46,998,000 $-38,434,000 $7,580,000 $6,932,000
2022 $108,848,000 $10,162,000 $63,182,000 $-56,749,000 $-54,337,000 $867,000 $-20,447,000
2021 $162,301,000 $10,649,000 $52,714,000 $-45,542,000 $-37,619,000 $-4,172,000 $-89,686,000
2020 $204,358,000 $10,835,000 $35,733,000 $-29,911,000 $-25,739,000 $188,814,000 $114,027,000
2019 $35,107,000 $10,004,000 $34,360,000 $-32,141,000 $-26,205,000 $23,271,000 $-7,390,000
2018 $37,365,000 $10,428,000 $39,761,000 $-32,573,000 $-30,065,000 $-5,961,000 $-14,652,000
2017 $73,798,000 $9,898,000 $59,658,000 $-53,315,000 $-48,355,000 $64,235,000 $12,250,000