Recent Annual Filings for CRS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,291,700,000 $2,759,700,000 $2,548,100,000 $235,600,000 $274,900,000 $-23,300,000 $154,600,000
2023 $3,053,900,000 $2,550,300,000 $2,477,800,000 $86,900,000 $14,700,000 $-40,100,000 $-109,700,000
2022 $2,932,300,000 $1,836,300,000 $1,899,400,000 $-30,300,000 $6,000,000 $-52,800,000 $-133,200,000
2021 $2,971,200,000 $1,475,600,000 $1,773,500,000 $-23,900,000 $250,000,000 $-76,100,000 $94,300,000
2020 $3,227,200,000 $2,181,100,000 $2,175,000,000 $-44,700,000 $231,800,000 $107,800,000 $166,100,000
2019 $3,187,800,000 $2,380,200,000 $2,164,200,000 $55,000,000 $232,400,000 $-19,400,000 $-29,200,000
2018 $3,007,000,000 $2,157,700,000 $1,997,500,000 $291,800,000 $209,200,000 $-78,900,000 $-11,100,000
2017 $2,878,100,000 $1,797,600,000 $1,727,400,000 $113,800,000 $129,300,000 $-32,800,000 $-15,800,000