Recent Annual Filings for CRNC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,297,590,000 $294,475,000 $330,864,000 $-50,483,000 $7,498,000 $-5,334,000 $7,984,000
2022 $1,318,493,000 $327,891,000 $526,642,000 $-346,197,000 $-2,138,000 $-19,606,000 $-32,309,000
2021 $1,705,728,000 $387,182,000 $338,913,000 $43,816,000 $74,389,000 $-41,505,000 $-8,747,000
2020 $1,687,445,000 $329,646,000 $355,786,000 $-3,649,000 $44,789,000 $121,553,000 $135,667,000