Recent Annual Filings for GATX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,296,500,000 $1,585,500,000 $1,324,100,000 $242,200,000 $602,100,000 $770,500,000 $-44,100,000
2023 $11,326,000,000 $1,410,900,000 $1,165,400,000 $303,200,000 $520,400,000 $844,100,000 $145,200,000
2022 $10,072,000,000 $1,273,000,000 $1,095,900,000 $104,900,000 $533,500,000 $504,400,000 $-35,600,000
2021 $9,541,700,000 $1,257,400,000 $1,062,300,000 $120,000,000 $507,200,000 $463,100,000 $50,800,000
2020 $8,937,600,000 $1,209,200,000 $1,083,900,000 $177,400,000 $436,800,000 $355,600,000 $-112,600,000
2019 $8,285,100,000 $1,393,800,000 $1,210,700,000 $212,200,000 $462,600,000 $21,900,000 $44,300,000
2018 $7,616,700,000 $1,360,900,000 $1,165,800,000 $175,700,000 $508,500,000 $-21,400,000 $-193,000,000
2017 $7,422,400,000 $1,376,900,000 $1,162,500,000 $603,500,000 $496,800,000 $-83,900,000 $-11,400,000