Recent Annual Filings for GBLI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,731,253,000 $441,187,000 $386,231,000 $55,694,000 $38,835,000 $-20,358,000 $-21,028,000
2023 $1,729,576,000 $528,129,000 $495,153,000 $45,624,000 $42,886,000 $-27,365,000 $-809,000
2022 $1,800,775,000 $628,534,000 $626,563,000 $-50,312,000 $44,236,000 $-163,802,000 $-39,432,000
2021 $2,012,809,000 $678,268,000 $645,465,000 $1,450,000 $90,799,000 $-15,361,000 $10,919,000
2020 $1,904,908,000 $583,547,000 $612,658,000 $-4,307,000 $32,670,000 $-184,167,000 $23,088,000
2019 $2,075,885,000 $604,472,000 $522,715,000 $108,855,000 $32,376,000 $-7,358,000 $-55,226,000
2018 $1,960,266,000 $498,938,000 $574,863,000 $-76,882,000 $42,069,000 $-22,306,000 $25,083,000
2017 $2,001,669,000 $485,515,000 $495,565,000 $50,000 $-23,650,000 $47,164,000 $-696,000