Recent Annual Filings for CTOS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,501,967,000 $1,802,280,000 $1,831,467,000 $-37,421,000 $121,985,000 $58,283,000 $-6,504,000
2023 $3,367,797,000 $1,865,100,000 $1,807,024,000 $53,681,000 $-30,883,000 $202,876,000 $-4,051,000
2022 $2,938,212,000 $1,573,086,000 $1,526,354,000 $29,958,000 $45,968,000 $153,896,000 $-21,542,000
2021 $2,683,766,000 $1,167,154,000 $1,344,230,000 $-181,501,000 $138,926,000 $1,323,044,000 $32,490,000