Recent Annual Filings for CWAN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,169,572,000 $451,803,000 $481,866,000 $423,071,000 $74,321,000 $-61,668,000 $-42,995,000
2023 $558,743,000 $368,168,000 $391,034,000 $-20,297,000 $84,602,000 $-19,291,000 $-29,744,000
2022 $481,942,000 $303,426,000 $308,761,000 $-5,871,000 $58,005,000 $16,229,000 $-2,317,000
2021 $344,355,000 $252,022,000 $259,629,000 $-8,196,000 $3,358,000 $195,288,000 $193,621,000