Recent Annual Filings for CXDO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $64,938,000 $60,838,000 $58,949,000 $1,671,000 $6,284,000 $1,595,000 $7,846,000
2023 $56,160,000 $53,199,000 $53,463,000 $-383,000 $3,499,000 $-2,306,000 $4,872,000
2022 $55,634,000 $37,554,000 $73,729,000 $-35,238,000 $-411,000 $-54,000 $-1,993,000
2021 $77,152,000 $28,092,000 $31,002,000 $-2,445,000 $-1,006,000 $-9,867,000 $-10,211,000
2020 $30,705,000 $16,387,000 $14,488,000 $7,940,000 $647,000 $13,673,000 $13,399,000