Recent Annual Filings for GCBC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,825,788,000 $103,664,000 $76,845,000 $26,467,000 $24,908,000 $98,277,000 $-6,050,000
2023 $2,698,283,000 $84,625,000 $48,798,000 $27,760,000 $28,109,000 $98,666,000 $127,436,000
2022 $2,571,740,000 $63,444,000 $30,539,000 $10,764,000 $35,354,000 $355,063,000 $-80,766,000
2021 $2,200,335,000 $58,328,000 $30,713,000 $23,209,000 $27,753,000 $498,696,000 $109,312,000
2020 $1,676,803,000 $53,314,000 $31,558,000 $19,305,000 $26,723,000 $381,521,000 $10,925,000
2019 $1,269,462,000 $4,117,000 $-16,909,000 $18,215,000 $21,625,000 $96,748,000 $3,034,000
2018 $1,151,478,000 $38,928,000 $20,425,000 $14,036,000 $20,672,000 $152,933,000 $10,227,000
2017 $982,291,000 $33,459,000 $18,531,000 $10,920,000 $14,048,000 $102,098,000 $382,000