Recent Annual Filings for CRSR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,235,829,000 $1,316,379,000 $1,378,037,000 $-84,198,000 $35,877,000 $-50,680,000 $-68,933,000
2023 $1,357,463,000 $1,459,875,000 $1,463,354,000 $2,370,000 $89,153,000 $-37,387,000 $24,504,000
2022 $1,297,245,000 $1,375,098,000 $1,438,864,000 $-61,163,000 $66,389,000 $72,609,000 $88,680,000
2021 $1,337,396,000 $1,904,060,000 $1,789,500,000 $99,093,000 $20,192,000 $-65,404,000 $-68,188,000
2020 $1,314,115,000 $1,702,367,000 $1,580,325,000 $106,915,000 $168,953,000 $-79,131,000 $81,621,000