Recent Annual Filings for GBIO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $231,197,000 $19,892,000 $151,560,000 $-131,783,000 $-88,563,000 $250,000 $6,216,000
2023 $374,758,000 $5,904,000 $132,516,000 $-126,255,000 $-52,745,000 $35,817,000 $-26,626,000
2022 $376,264,000 $-136,722,000 $-102,448,000 $12,989,000 $-281,974,000
2021 $476,771,000 $-119,160,000 $-91,821,000 $214,671,000 $315,897,000
2020 $294,155,000 $-80,514,000 $-70,142,000 $323,095,000 $47,757,000