Recent Annual Filings for GBX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,254,500,000 $3,544,700,000 $3,321,000,000 $146,000,000 $329,600,000 $86,200,000 $65,900,000
2023 $3,978,400,000 $3,944,000,000 $3,853,000,000 $113,900,000 $71,200,000 $-76,200,000 $-256,400,000
2022 $3,851,500,000 $2,977,700,000 $2,917,100,000 $51,900,000 $-150,400,000 $244,900,000 $-112,300,000
2021 $3,390,668,000 $1,747,981,000 $1,756,561,000 $44,225,000 $-40,525,000 $-22,742,000 $-170,691,000
2020 $3,173,834,000 $2,792,189,000 $2,667,379,000 $79,604,000 $272,261,000 $216,455,000 $503,600,000
2019 $2,990,637,000 $3,033,591,000 $2,880,387,000 $84,325,000 $-21,241,000 $276,901,000 $-200,987,000
2018 $2,465,464,000 $2,519,464,000 $2,295,847,000 $154,957,000 $103,341,000 $-89,267,000 $-80,811,000
2017 $2,397,705,000 $2,169,164,000 $1,932,924,000 $180,958,000 $280,389,000 $209,637,000 $388,787,000