Recent Annual Filings for GAN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $77,146,000 $134,998,000 $138,598,000 $-9,711,000 $5,813,000 $2,000 $164,000
2023 $87,504,000 $129,419,000 $159,733,000 $-32,948,000 $-3,565,000 $1,347,000 $-7,342,000
2022 $103,080,000 $141,528,000 $334,037,000 $-211,720,000 $-1,249,000 $27,448,000 $6,443,000
2021 $260,910,000 $124,163,000 $155,376,000 $-47,293,000 $-5,003,000 $169,000 $-113,177,000