Recent Annual Filings for CVGW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $301,119,000 $661,544,000 $652,371,000 $-1,024,000 $24,419,000 $-50,350,000 $54,179,000
2023 $386,854,000 $971,948,000 $973,973,000 $-7,967,000 $-14,466,000 $24,878,000 $-282,000
2022 $385,746,000 $1,191,073,000 $1,193,860,000 $-6,602,000 $50,233,000 $-58,635,000 $279,000
2021 $445,402,000 $1,055,830,000 $1,055,286,000 $-11,922,000 $13,572,000 $-5,408,000 $-1,200,000
2020 $429,624,000 $1,059,371,000 $1,071,394,000 $-13,841,000 $28,878,000 $-865,000 $-3,918,000
2019 $390,360,000 $1,195,777,000 $1,132,227,000 $36,586,000 $72,099,000 $-33,796,000 $6,453,000
2018 $367,736,000 $1,088,758,000 $1,032,177,000 $33,719,000 $48,426,000 $-23,327,000 $-5,105,000
2017 $364,117,000 $1,075,565,000 $1,017,791,000 $41,214,000 $62,140,000 $-15,689,000 $-7,217,000