Recent Annual Filings for CTM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $37,837,435 $44,764,852 $54,677,127 $-9,980,307 $1,120,105 $9,082,746 $10,424,207
2023 $30,107,277 $45,243,812 $64,301,107 $-17,800,178 $-2,264,447 $-104,623 $-2,810,055
2022 $33,043,008 $42,190,643 $56,279,085 $-14,908,038 $990,163 $1,972,100 $2,622,981