Recent Annual Filings for GABC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $6,152,198,000 $256,656,000 $153,009,000 $132,266,000 $107,234,000 $-136,540,000 $-2,051,000
2022 $6,155,991,000 $218,926,000 $119,750,000 $-197,097,000 $110,036,000 $-363,666,000 $-277,811,000
2021 $5,608,539,000 $170,379,000 $67,594,000 $64,246,000 $100,844,000 $590,597,000 $51,142,000
2020 $4,977,577,000 $174,369,000 $99,325,000 $82,480,000 $92,418,000 $495,524,000 $241,864,000
2019 $4,397,672,000 $176,474,000 $105,235,000 $81,425,000 $65,229,000 $-88,557,000 $7,334,000
2018 $3,929,090,000 $133,749,000 $77,692,000 $42,051,000 $62,331,000 $2,658,000 $26,191,000
2017 $3,144,360,000 $111,030,000 $58,820,000 $44,929,000 $54,875,000 $139,948,000 $5,543,000
2016 $2,955,994,000 $103,365,000 $54,235,000 $24,968,000 $41,913,000 $42,583,000 $12,807,000