Recent Annual Filings for CSWI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,043,326,000 $792,840,000 $652,360,000 $101,822,000 $164,332,000 $-114,073,000 $3,701,000
2023 $1,043,453,000 $757,904,000 $631,993,000 $93,239,000 $121,453,000 $-46,840,000 $1,836,000
2022 $995,360,000 $626,435,000 $534,970,000 $68,241,000 $69,089,000 $-13,039,000 $6,531,000
2021 $874,957,000 $419,205,000 $368,087,000 $45,738,000 $66,254,000 $214,049,000 $-8,250,000
2020 $369,245,000 $385,871,000 $328,270,000 $45,161,000 $69,897,000 $-57,151,000 $-8,313,000
2019 $352,632,000 $350,155,000 $288,714,000 $42,320,000 $59,710,000 $-39,273,000 $14,945,000
2018 $340,816,000 $326,222,000 $277,975,000 $-8,922,000 $43,156,000 $-51,521,000 $-11,440,000
2017 $397,664,000 $327,084,000 $305,540,000 $8,334,000 $39,036,000 $-15,318,000 $-2,841,000