Recent Annual Filings for CVLG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $997,568,000 $1,131,476,000 $1,086,716,000 $36,140,000 $122,893,000 $18,107,000 $33,325,000
2023 $954,438,000 $1,103,573,000 $1,044,750,000 $54,959,000 $84,841,000 $84,709,000 $-66,371,000
2022 $796,645,000 $1,216,858,000 $1,096,176,000 $111,074,000 $159,230,000 $-12,769,000 $60,253,000
2021 $651,662,000 $1,046,003,000 $978,841,000 $61,676,000 $73,218,000 $-83,557,000 $5,000
2020 $676,716,000 $838,561,000 $852,588,000 $-43,955,000 $63,040,000 $-236,270,000 $-35,184,000