Recent Annual Filings for CVCO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,354,160,000 $1,794,792,000 $1,595,612,000 $158,187,000 $224,682,000 $-107,710,000 $85,263,000
2023 $1,307,975,000 $2,142,713,000 $1,835,950,000 $240,629,000 $255,693,000 $-102,196,000 $24,156,000
2022 $1,154,972,000 $1,627,158,000 $1,415,169,000 $197,242,000 $144,224,000 $-65,095,000 $-79,973,000
2021 $951,833,000 $1,108,051,000 $1,011,139,000 $76,653,000 $114,031,000 $-6,982,000 $83,700,000
2020 $810,431,000 $1,061,774,000 $968,795,000 $75,184,000 $101,737,000 $-20,756,000 $55,738,000
2019 $725,216,000 $962,746,000 $876,070,000 $68,777,000 $32,836,000 $-26,410,000 $611,000
2018 $674,780,000 $871,235,000 $792,712,000 $61,554,000 $58,771,000 $124,000 $54,224,000
2017 $607,316,000 $773,797,000 $718,516,000 $38,052,000 $44,794,000 $-2,956,000 $34,776,000