Recent Annual Filings for CRSP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,242,034,000 $37,314,000 $399,979,000 $-366,325,000 $-142,774,000 $331,984,000 $-91,271,000
2023 $2,229,571,000 $371,206,000 $521,928,000 $-136,050,000 $-260,375,000 $62,664,000 $176,936,000
2022 $2,243,057,000 $1,198,000 $651,698,000 $-660,755,000 $-495,741,000 $38,592,000 $-715,804,000
2021 $2,751,877,000 $914,963,000 $535,432,000 $372,677,000 $538,972,000 $250,945,000 $-245,513,000
2020 $1,827,966,000 $719,000 $348,775,000 $-348,955,000 $-238,366,000 $1,016,152,000 $236,616,000
2019 $1,066,752,000 $289,590,000 $222,284,000 $66,873,000 $56,677,000 $430,983,000 $488,985,000
2018 $489,016,000 $3,124,000 $167,552,000 $-165,003,000 $-96,239,000 $315,934,000 $216,922,000
2017 $271,346,000 $40,997,000 $107,605,000 $-68,317,000 $-70,097,000 $2,608,000 $-75,762,000