Recent Annual Filings for GDYN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $435,165,000 $312,910,000 $308,072,000 $357,000 $41,093,000 $-16,321,000 $498,000
2022 $411,146,000 $310,482,000 $330,935,000 $-29,936,000 $31,652,000 $97,758,000 $112,365,000
2021 $256,719,000 $211,280,000 $213,732,000 $-7,822,000 $17,973,000 $49,134,000 $31,619,000
2020 $167,135,000 $111,283,000 $126,495,000 $-12,603,000 $5,932,000 $82,967,000 $70,556,000