Recent Annual Filings for GEL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $7,018,778,000 $3,176,996,000 $2,847,576,000 $148,273,000 $521,126,000 $73,993,000 $1,471,000
2022 $6,365,992,000 $2,788,957,000 $2,473,945,000 $140,856,000 $334,395,000 $41,699,000 $1,575,000
2021 $5,905,801,000 $2,125,476,000 $2,049,780,000 $-134,274,000 $337,951,000 $-65,860,000 $-2,026,000
2020 $5,933,619,000 $1,824,655,000 $2,070,613,000 $-401,248,000 $296,745,000 $-222,376,000 $-29,387,000
2019 $6,597,641,000 $2,480,820,000 $2,208,117,000 $90,696,000 $382,287,000 $-195,371,000 $46,105,000
2018 $6,479,071,000 $2,912,770,000 $2,742,522,000 $-10,249,000 $390,039,000 $-529,473,000 $1,259,000
2017 $7,137,481,000 $2,028,377,000 $1,807,826,000 $82,043,000 $338,858,000 $1,138,027,000 $2,012,000
2016 $5,702,592,000 $1,712,493,000 $1,506,066,000 $111,082,000 $298,338,000 $148,105,000 $-3,866,000