Recent Annual Filings for CRVL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $454,679,000 $795,311,000 $700,210,000 $76,252,000 $99,237,000 $-35,763,000 $34,234,000
2023 $393,923,000 $718,562,000 $634,008,000 $66,365,000 $82,288,000 $-82,143,000 $-26,175,000
2022 $415,246,000 $646,230,000 $561,718,000 $66,410,000 $67,222,000 $-79,615,000 $-42,212,000
2021 $424,760,000 $552,644,000 $493,469,000 $46,356,000 $94,379,000 $-20,643,000 $56,493,000
2020 $416,260,000 $592,225,000 $531,514,000 $47,377,000 $80,826,000 $-56,956,000 $-8,490,000
2019 $318,018,000 $595,740,000 $534,227,000 $46,703,000 $78,639,000 $-27,423,000 $35,942,000
2018 $274,004,000 $558,350,000 $510,447,000 $35,695,000 $62,152,000 $-7,303,000 $27,160,000
2017 $235,383,000 $518,686,000 $471,137,000 $29,479,000 $52,052,000 $-25,213,000 $-4,168,000