Recent Annual Filings for CXM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $1,184,199,000 $796,394,000 $748,102,000 $118,476,000 $77,590,000 $-248,158,000 $-18,896,000
2024 $1,223,110,000 $732,360,000 $671,838,000 $51,951,000 $71,465,000 $24,086,000 $-15,958,000
2023 $1,024,991,000 $618,190,000 $665,658,000 $-59,306,000 $26,660,000 $34,971,000 $-133,039,000
2022 $920,046,000 $492,394,000 $596,948,000 $-111,470,000 $-32,922,000 $303,132,000 $253,389,000
2013 $2,786,377 $109,200 $7,015,449 $-8,914,293 $-6,025,376 $3,742,844 $-2,305,585
2012 $7,808,878 $785,318 $9,175,132 $-8,323,310 $-9,212,565 $6,547,075 $-2,393,205
2011 $7,503,229 $-7,129,092 $-7,673,496 $5,755,129 $-1,922,775