Recent Annual Filings for CXW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,105,399,000 $1,896,635,000 $1,728,540,000 $67,590,000 $231,901,000 $-206,236,000 $-33,209,000
2022 $3,244,769,000 $1,845,329,000 $1,675,690,000 $122,320,000 $153,583,000 $-375,163,000 $-148,542,000
2021 $3,498,938,000 $1,862,616,000 $1,673,246,000 $-51,896,000 $263,231,000 $-327,715,000 $173,939,000
2020 $3,709,315,000 $1,905,485,000 $1,742,823,000 $55,338,000 $355,530,000 $-350,823,000 $17,675,000
2019 $3,791,631,000 $1,980,689,000 $1,699,125,000 $188,886,000 $354,384,000 $-64,839,000 $44,956,000
2018 $3,655,660,000 $1,835,766,000 $1,586,281,000 $159,207,000 $322,880,000 $-9,869,000 $21,954,000
2017 $3,272,398,000 $1,765,498,000 $1,505,102,000 $178,040,000 $341,325,000 $-202,291,000 $14,472,000
2016 $3,271,604,000 $1,849,785,000 $1,553,369,000 $219,919,000 $375,373,000 $-280,765,000 $-27,580,000