Recent Annual Filings for CTLP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $335,568,000 $268,596,000 $255,618,000 $11,869,000 $27,745,000 $-1,058,000 $7,993,000
2023 $289,612,000 $243,641,000 $242,827,000 $633,000 $14,192,000 $20,475,000 $-17,198,000
2021 $237,672,000 $166,939,000 $175,274,000 $-8,705,000 $8,177,000 $50,074,000 $56,423,000