Recent Annual Filings for GCI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,040,147,000 $2,509,315,000 $2,552,153,000 $-17,010,000 $100,310,000 $-68,853,000 $5,569,000
2023 $2,181,247,000 $2,663,550,000 $2,577,279,000 $7,796,000 $94,574,000 $-135,511,000 $5,808,000
2022 $2,393,555,000 $2,945,303,000 $2,978,902,000 $-239,484,000 $40,776,000 $-102,867,000 $-38,815,000
2021 $2,828,069,000 $3,208,083,000 $3,099,006,000 $-126,346,000 $127,453,000 $-261,172,000 $-63,107,000
2020 $3,108,914,000 $3,405,670,000 $3,853,558,000 $-630,426,000 $57,770,000 $-201,342,000 $18,062,000
2019 $4,020,102,000 $1,867,909,000 $2,014,886,000 $-106,107,000 $25,535,000 $898,913,000 $135,894,000
2018 $2,478,411,000 $2,916,838,000 $2,888,076,000 $54,861,000 $157,517,000 $-57,869,000 $-27,171,000
2017 $2,569,977,000 $3,146,480,000 $3,078,909,000 $233,282,000 $236,468,000 $-141,786,000 $6,265,000