Recent Annual Filings for CURI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $86,182,000 $51,134,000 $63,943,000 $-12,941,000 $8,151,000 $-7,010,000 $-30,264,000
2023 $101,022,000 $56,889,000 $105,279,000 $-48,856,000 $-16,172,000 $-123,000 $-2,292,000
2022 $154,113,000 $78,043,000 $128,593,000 $-50,735,000 $-39,523,000 $-218,000 $22,960,000
2021 $217,578,000 $71,261,000 $108,536,000 $-37,867,000 $-73,242,000 $148,340,000 $163,000
2020 $88,595,000 $39,621,000 $78,069,000 $-38,806,000 $-52,914,000 $36,024,000 $8,565,000