Provided By PR Newswire
Last update: Nov 6, 2025
Generates net cash provided by operating activities of $87.9 million and free cash flow1 of $38.9 million
Increases cash and cash equivalents by $31.5 million and overall liquidity by $47.5 million
Read more at prnewswire.comNYSE:CNR (12/9/2025, 12:26:24 PM)
82.815
+1.02 (+1.24%)
Find more stocks in the Stock Screener


