Recent Annual Filings for CRWS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $82,706,000 $87,632,000 $81,404,000 $4,894,000 $7,084,000 $-7,804,000 $-913,000
2023 $90,972,000 $75,053,000 $67,627,000 $5,650,000 $7,738,000 $9,319,000 $144,000
2022 $60,155,000 $87,360,000 $75,034,000 $9,918,000 $8,264,000 $-6,789,000 $985,000
2021 $58,082,000 $79,164,000 $71,441,000 $6,081,000 $8,738,000 $-7,674,000 $331,000
2020 $57,173,000 $73,396,000 $65,628,000 $6,561,000 $8,532,000 $-7,715,000 $139,000
2019 $54,779,000 $76,381,000 $69,590,000 $5,019,000 $8,974,000 $-8,295,000 $-72,000
2018 $56,581,000 $70,270,000 $64,849,000 $3,021,000 $2,453,000 $5,336,000 $-7,677,000
2017 $47,184,000 $65,978,000 $57,182,000 $5,572,000 $10,389,000 $-9,880,000 $318,000