Recent Annual Filings for GEN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $15,495,000,000 $3,935,000,000 $2,906,000,000 $599,000,000 $1,221,000,000 $-970,000,000 $160,000,000
2024 $15,772,000,000 $3,812,000,000 $3,353,000,000 $642,000,000 $2,064,000,000 $-1,961,000,000 $96,000,000
2023 $15,947,000,000 $3,338,000,000 $2,534,000,000 $1,338,000,000 $757,000,000 $4,681,000,000 $-1,137,000,000
2020 $4,062,246,000 $3,906,223,000 $4,013,200,000 $-102,179,000 $315,731,000 $-94,785,000 $187,414,000
2019 $4,662,140,000 $4,565,834,000 $4,556,606,000 $8,672,000 $-7,166,000 $377,699,000 $-16,470,000
2018 $4,263,623,000 $4,976,650,000 $5,351,490,000 $-372,465,000 $18,584,000 $53,178,000 $83,638,000
2017 $4,787,865,000 $5,373,740,000 $6,343,339,000 $-959,413,000 $120,455,000 $-172,829,000 $3,117,000
2016 $5,779,201,000 $5,732,430,000 $5,867,943,000 $-118,056,000 $68,361,000 $-65,708,000 $-10,135,000