Recent Annual Filings for CRVS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $68,907,000 $-62,614,000 $-25,424,000 $49,028,000 $-3,880,000
2023 $45,553,000 $-27,433,000 $-23,935,000 $7,855,000 $-539,000
2022 $68,240,000 $-43,739,000 $-27,023,000 $50,299,000
2021 $109,455,000 $-41,376,000 $-36,715,000 $62,158,000 $47,003,000
2020 $85,529,000 $-6,020,000 $-34,778,000 $1,310,000 $11,301,000
2019 $83,646,000 $-46,609,000 $-37,321,000 $24,000 $-34,042,000
2018 $118,232,000 $-46,932,000 $-40,988,000 $65,270,000 $-5,910,000
2017 $94,775,000 $-55,665,000 $-46,212,000 $1,442,000 $40,056,000