Recent Annual Filings for CSGS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,500,687,000 $1,197,248,000 $1,065,915,000 $74,975,000 $135,717,000 $-79,923,000 $50,666,000
2023 $1,443,046,000 $1,169,258,000 $1,045,381,000 $74,662,000 $131,896,000 $-31,305,000 $72,685,000
2022 $1,348,553,000 $1,089,752,000 $1,011,005,000 $23,584,000 $63,597,000 $-51,685,000 $2,874,000
2021 $1,387,149,000 $1,046,487,000 $922,301,000 $65,116,000 $140,223,000 $-33,391,000 $40,126,000
2020 $1,332,000,000 $990,533,000 $884,977,000 $67,076,000 $173,020,000 $-76,969,000 $29,793,000
2019 $1,283,030,000 $996,810,000 $870,701,000 $86,202,000 $151,076,000 $-78,228,000 $16,212,000
2018 $1,114,362,000 $875,059,000 $770,127,000 $52,017,000 $143,341,000 $-37,509,000 $17,034,000
2017 $904,534,000 $789,582,000 $683,897,000 $77,914,000 $127,195,000 $-105,494,000 $-4,108,000