Recent Annual Filings for CZWI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,748,519,000 $89,615,000 $72,165,000 $14,659,000 $20,176,000 $-120,881,000 $13,034,000
2023 $1,851,391,000 $84,248,000 $65,316,000 $13,387,000 $13,124,000 $22,856,000 $1,775,000
2022 $1,816,386,000 $69,397,000 $45,816,000 $-56,000 $29,288,000 $77,571,000 $-12,328,000
2021 $1,739,628,000 $64,035,000 $35,076,000 $19,937,000 $21,599,000 $69,853,000 $-71,749,000
2020 $1,649,095,000 $64,527,000 $47,247,000 $14,686,000 $23,785,000 $101,630,000 $63,600,000
2019 $1,531,249,000 $60,423,000 $48,146,000 $10,878,000 $12,836,000 $60,559,000 $10,062,000
2018 $975,409,000 $38,896,000 $32,287,000 $1,981,000 $10,855,000 $31,425,000 $-7,183,000
2017 $940,664,000 $27,878,000 $24,056,000 $1,618,000 $3,921,000 $15,925,000 $31,631,000