Recent Annual Filings for CSTL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $453,340,000 $219,788,000 $287,765,000 $-56,949,000 $-5,626,000 $-2,298,000 $-24,107,000
2022 $447,329,000 $137,039,000 $209,894,000 $-67,519,000 $-41,655,000 $1,515,000 $-206,685,000
2021 $462,572,000 $94,085,000 $134,164,000 $-31,292,000 $-18,983,000 $5,421,000 $-80,219,000
2020 $439,328,000 $62,649,000 $69,191,000 $-10,284,000 $9,865,000 $305,890,000 $311,007,000
2019 $119,746,000 $51,865,000 $44,537,000 $5,277,000 $7,015,000 $88,288,000 $94,366,000