Recent Annual Filings for CUE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $32,191,000 $9,287,000 $49,961,000 $-40,674,000 $-36,329,000 $10,243,000 $-26,054,000
2023 $61,530,000 $5,490,000 $56,223,000 $-50,637,000 $-39,961,000 $11,860,000 $-3,099,000
2022 $91,283,452 $1,245,227 $54,255,609 $-53,106,255 $-41,805,954 $53,659,133 $-12,756,698
2021 $83,400,935 $14,941,370 $58,607,545 $-44,168,306 $-38,837,166 $19,233,322 $-10,495,333
2020 $99,533,800 $3,154,325 $47,732,996 $-44,767,469 $-32,494,034 $58,614,263 $30,576,103
2019 $71,605,009 $3,458,331 $39,744,788 $-36,698,320 $-30,796,910 $50,789,765 $23,439,678
2018 $45,363,100 $1,142,604 $39,297,917 $-38,991,271 $-26,410,968 $4,181,849 $-42,583,365