Recent Annual Filings for G

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $4,805,713,000 $4,476,888,000 $3,874,664,000 $641,830,000 $490,812,000 $-482,996,000 $-71,128,000
2022 $4,588,814,000 $4,371,172,000 $3,905,936,000 $174,632,000 $443,670,000 $-571,402,000 $-164,325,000
2021 $4,975,269,000 $4,022,211,000 $3,539,082,000 $360,435,000 $694,281,000 $-332,883,000 $238,651,000
2020 $4,873,513,000 $3,709,377,000 $3,308,900,000 $294,892,000 $584,308,000 $-92,011,000 $225,900,000
2019 $4,454,184,000 $3,520,543,000 $3,121,126,000 $280,385,000 $427,888,000 $39,647,000 $110,416,000
2018 $3,529,445,000 $3,000,790,000 $2,638,769,000 $126,339,000 $339,511,000 $-135,187,000 $-71,726,000
2017 $3,449,621,000 $2,736,929,000 $2,416,346,000 $260,841,000 $359,078,000 $47,189,000 $44,277,000
2016 $2,885,880,000 $2,570,756,000 $2,241,111,000 $267,547,000 $345,772,000 $-232,798,000 $-12,791,000