Recent Annual Filings for CYN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $30,095,349 $368,138 $23,196,213 $-29,252,284 $-9,493,500 $26,584,380 $20,743,919
2023 $13,033,356 $1,489,317 $24,835,259 $-22,811,230 $-19,477,605 $6,120,789 $-6,994,650
2022 $25,505,012 $262,000 $19,662,727 $-36,509 $-16,299,223 $18,238,776 $21,189,515
2021 $22,654,989 $-7,799,529 $-8,642,419 $24,202,225 $32,782,210
2014 $32,610,363,000 $907,446,000 $529,649,000 $267,156,000 $181,963,000 $2,576,143,000 $-279,495,000
2013 $29,717,951,000 $879,661,000 $552,526,000 $130,293,000 $420,584,000 $875,026,000 $520,541,000
2012 $28,618,492,000 $886,551,000 $578,596,000 $223,343,000 $262,353,000 $4,298,359,000 $170,591,000
2011 $23,666,291,000 $843,090,000 $589,474,000 $209,618,000 $608,021,000 $1,917,422,000 $-189,875,000