Recent Annual Filings for CRNX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $635,353,000 $4,013,000 $218,542,000 $-209,621,000 $-166,307,000 $388,944,000 $22,224,000
2022 $352,176,000 $4,737,000 $168,655,000 $-167,467,000 $-115,205,000 $121,963,000 $-167,222,000
2021 $351,015,000 $1,078,000 $108,719,000 $-108,048,000 $-88,588,000 $252,679,000 $107,608,000
2020 $183,445,000 $71,000 $73,883,000 $-73,935,000 $-62,027,000 $114,571,000 $52,761,000
2019 $130,377,000 $1,193,000 $51,615,000 $-50,335,000 $-46,381,000 $67,000 $-4,647,000
2018 $171,415,000 $2,428,000 $29,543,000 $-27,054,000 $-19,459,000 $170,198,000 $31,281,000