Recent Annual Filings for CRL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,528,345,000 $4,049,989,000 $3,956,875,000 $-98,478,000 $734,577,000 $-550,927,000 $-78,910,000
2023 $8,195,001,000 $4,129,409,000 $3,548,125,000 $544,800,000 $683,898,000 $-85,521,000 $43,266,000
2022 $7,602,770,000 $3,976,060,000 $3,353,073,000 $391,707,000 $619,640,000 $-42,397,000 $-5,100,000
2021 $7,024,292,000 $3,540,160,000 $3,059,450,000 $373,794,000 $760,799,000 $672,598,000 $13,195,000
2020 $5,490,831,000 $2,923,933,000 $2,476,819,000 $405,887,000 $546,575,000 $47,248,000 $-6,927,000
2019 $4,692,790,000 $2,621,226,000 $2,317,142,000 $248,525,000 $480,936,000 $231,937,000 $42,728,000
2018 $3,855,879,000 $2,266,096,000 $1,984,415,000 $203,129,000 $441,140,000 $558,059,000 $34,722,000
2017 $2,929,922,000 $1,857,601,000 $1,560,646,000 $235,516,000 $316,265,000 $-208,476,000 $46,437,000