Recent Annual Filings for CURV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $488,441,000 $1,103,737,000 $1,082,134,000 $15,733,000 $77,390,000 $-24,500,000 $36,788,000
2024 $476,947,000 $1,151,945,000 $1,133,910,000 $11,567,000 $42,771,000 $-18,517,000 $-1,801,000
2023 $527,264,000 $1,288,144,000 $1,216,462,000 $49,872,000 $53,311,000 $-45,117,000 $-15,352,000
2022 $578,501,000 $1,278,794,000 $1,262,965,000 $-29,860,000 $121,220,000 $-197,809,000 $-93,928,000