Recent Annual Filings for GAIA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $141,217,000 $4,000,000 $9,432,000 $-5,398,000 $6,923,000 $6,169,000 $-1,906,000
2023 $130,273,000 $2,700,000 $8,235,000 $-5,595,000 $5,870,000 $-4,384,000 $-3,796,000
2022 $138,303,000 $82,035,000 $84,568,000 $-3,095,000 $11,520,000 $8,877,000 $1,293,000
2021 $133,676,000 $79,573,000 $77,853,000 $3,731,000 $20,867,000 $655,000 $-2,336,000
2020 $110,017,000 $66,827,000 $66,128,000 $519,000 $11,650,000 $-10,363,000 $1,111,000
2019 $106,172,000 $53,979,000 $71,826,000 $-18,150,000 $-2,574,000 $4,379,000 $-18,470,000
2018 $107,151,000 $43,843,000 $79,580,000 $-33,793,000 $-21,385,000 $37,430,000 $-2,814,000
2017 $96,979,000 $28,290,000 $52,916,000 $-23,272,000 $-20,792,000 $12,554,000 $-21,249,000