Recent Annual Filings for CSR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,913,707,000 $260,983,000 $239,931,000 $-13,480,000 $98,248,000 $-43,672,000 $3,860,000
2023 $1,926,361,000 $261,309,000 $244,236,000 $50,167,000 $89,520,000 $-212,351,000 $-2,622,000
2022 $2,033,301,000 $256,716,000 $242,896,000 $-15,261,000 $91,991,000 $41,369,000 $-26,734,000
2021 $1,940,061,000 $201,705,000 $199,331,000 $9,369,000 $84,028,000 $214,512,000 $31,315,000
2020 $1,464,183,000 $177,994,000 $169,654,000 $-3,555,000 $61,228,000 $64,930,000 $-38,807,000