Recent Annual Filings for CSV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,279,580,000 $404,198,000 $354,118,000 $32,953,000 $51,996,000 $-48,716,000 $-358,000
2023 $1,268,052,000 $382,520,000 $336,091,000 $33,413,000 $75,590,000 $-18,233,000 $353,000
2022 $1,192,950,000 $370,174,000 $312,980,000 $41,381,000 $61,024,000 $-8,512,000 $22,000
2021 $1,178,631,000 $375,886,000 $331,582,000 $33,159,000 $84,246,000 $-71,452,000 $259,000
2020 $1,145,825,000 $329,448,000 $304,806,000 $16,090,000 $82,915,000 $-48,322,000 $173,000
2019 $1,129,755,000 $274,107,000 $251,691,000 $14,533,000 $43,216,000 $115,742,000 $72,000
2018 $917,502,000 $267,992,000 $249,726,000 $11,645,000 $48,994,000 $2,194,000 $-308,000
2017 $921,533,000 $258,139,000 $225,357,000 $37,193,000 $45,230,000 $-8,101,000 $-2,334,000