Recent Annual Filings for GCMG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $612,731,000 $514,012,000 $463,848,000 $31,904,000 $148,774,000 $-70,378,000 $45,100,000
2023 $504,943,000 $444,999,000 $466,513,000 $-36,882,000 $92,065,000 $-113,662,000 $-40,809,000
2022 $488,933,000 $446,530,000 $357,437,000 $110,151,000 $216,513,000 $-215,067,000 $-11,022,000
2021 $581,624,000 $531,592,000 $378,530,000 $148,427,000 $178,803,000 $-251,274,000 $-101,961,000
2020 $631,891,000 $429,981,000 $493,105,000 $-71,732,000 $68,170,000 $54,757,000 $118,280,000