Recent Annual Filings for GDOT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,434,282,000 $1,723,876,000 $1,725,544,000 $-17,797,000 $81,383,000 $743,148,000 $905,933,000
2023 $4,817,122,000 $1,501,328,000 $1,478,658,000 $42,463,000 $97,519,000 $-264,019,000 $-133,343,000
2022 $4,789,176,000 $1,449,566,000 $1,355,191,000 $-228,709,000 $277,686,000 $36,707,000 $-505,795,000
2021 $4,725,477,000 $1,433,197,000 $1,366,723,000 $14,245,000 $162,533,000 $1,034,893,000 $-171,061,000
2020 $4,115,267,000 $1,253,760,000 $1,223,687,000 $24,519,000 $209,178,000 $1,007,201,000 $430,547,000
2019 $2,460,590,000 $1,108,595,000 $985,677,000 $102,074,000 $189,914,000 $-65,125,000 $-29,064,000
2018 $2,287,118,000 $1,041,758,000 $935,160,000 $119,296,000 $251,051,000 $-50,961,000 $85,123,000
2017 $2,197,531,000 $890,151,000 $791,827,000 $85,338,000 $218,310,000 $192,187,000 $186,567,000