Recent Annual Filings for CRMT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,477,644,000 $1,393,894,000 $1,434,029,000 $-31,393,000 $-73,898,000 $110,956,000 $26,413,000
2023 $1,420,431,000 $1,405,498,000 $1,379,704,000 $20,432,000 $-135,728,000 $188,746,000 $25,447,000
2022 $1,145,312,000 $1,212,365,000 $1,091,963,000 $93,307,000 $-114,284,000 $176,222,000 $39,694,000
2021 $822,159,000 $918,610,000 $784,169,000 $104,139,000 $-53,812,000 $5,403,000 $-56,667,000
2020 $667,324,000 $744,611,000 $680,260,000 $51,343,000 $20,917,000 $46,777,000 $57,808,000
2019 $492,542,000 $669,122,000 $609,271,000 $47,625,000 $24,902,000 $-20,285,000 $730,000
2018 $455,584,000 $612,201,000 $573,295,000 $36,509,000 $9,994,000 $-7,702,000 $588,000
2017 $424,258,000 $587,751,000 $555,509,000 $20,205,000 $7,334,000 $-6,847,000 $-168,000