Recent Annual Filings for CTKB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $499,500,000 $200,453,000 $206,153,000 $-4,730,000 $25,379,000 $-15,822,000 $-68,885,000
2023 $494,457,000 $193,015,000 $208,724,000 $-12,490,000 $5,281,000 $-41,812,000 $-131,870,000
2022 $519,476,000 $164,036,000 $162,776,000 $798,000 $-12,231,000 $5,513,000 $-65,118,000
2021 $463,305,000 $127,950,000 $122,012,000 $4,176,000 $4,630,000 $213,559,000 $198,499,000