Recent Annual Filings for GD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $55,880,000,000 $47,716,000,000 $42,920,000,000 $3,423,000,000 $4,112,000,000 $-3,369,000,000 $-210,000,000
2023 $54,810,000,000 $42,272,000,000 $38,027,000,000 $4,308,000,000 $4,710,000,000 $-3,094,000,000 $675,000,000
2022 $51,585,000,000 $39,407,000,000 $35,196,000,000 $3,158,000,000 $4,579,000,000 $-3,471,000,000 $-381,000,000
2021 $50,073,000,000 $38,469,000,000 $34,306,000,000 $4,887,000,000 $4,271,000,000 $-4,590,000,000 $-1,201,000,000
2020 $51,308,000,000 $37,925,000,000 $33,792,000,000 $3,435,000,000 $3,858,000,000 $-903,000,000 $1,981,000,000
2019 $48,841,000,000 $39,350,000,000 $34,702,000,000 $3,043,000,000 $2,981,000,000 $-1,997,000,000 $-10,000,000
2018 $45,408,000,000 $36,193,000,000 $31,736,000,000 $3,025,000,000 $3,128,000,000 $5,086,000,000 $-2,020,000,000
2017 $35,046,000,000 $30,973,000,000 $26,796,000,000 $3,479,000,000 $3,839,000,000 $-2,399,000,000 $649,000,000