2021 annual financial data
Canterbury Park Holding 2021 Operating cash flow
Canterbury Park Holding 2021 operating cash flow with verified reported values.
Direct answer
Operating cash flow was 13,498,268 USD.
Operating income was 17,781,487 USD and net income was 11,798,153 USD.
Operating cash flow was 13,498,268 USD.
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Verified data
- Revenue
- 60,399,698 USD
- Operating income
- 17,781,487 USD
- Net income
- 11,798,153 USD
- Operating cash flow
- 13,498,268 USD