Recent Annual Filings for CZFS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,025,724,000 $9,610,000 $-24,073,000 $29,208,000 $33,182,000 $25,275,000 $-10,616,000
2023 $2,975,321,000 $8,972,000 $-12,543,000 $26,041,000 $26,537,000 $-59,395,000 $26,607,000
2022 $2,333,393,000 $8,587,000 $-26,908,000 $-3,926,000 $33,240,000 $182,590,000 $-146,622,000