Recent Annual Filings for CRON

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,140,085,000 $87,241,000 $160,910,000 $-53,014,000 $-42,835,000 $-1,030,000 $-95,353,000
2022 $1,213,009,000 $91,904,000 $226,463,000 $-219,350,000 $-88,948,000 $-2,897,000 $-122,329,000
2021 $1,397,738,000 $74,435,000 $471,570,000 $-389,012,000 $-153,616,000 $-13,442,000 $-191,050,000
2020 $1,925,682,000 $46,719,000 $119,992,000 $-60,319,000 $-142,457,000 $-5,465,000 $-121,670,000