Recent Annual Filings for GES

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $2,766,678,000 $2,995,273,000 $2,914,800,000 $43,440,000 $121,677,000 $-165,505,000 $-156,983,000
2024 $2,590,021,000 $2,776,530,000 $2,540,395,000 $210,535,000 $330,381,000 $-168,837,000 $86,399,000
2023 $2,425,448,000 $2,687,350,000 $2,489,304,000 $164,752,000 $169,188,000 $-217,190,000 $-137,870,000
2022 $2,555,628,000 $2,591,631,000 $2,337,902,000 $164,209,000 $131,642,000 $-97,044,000 $-53,780,000
2021 $2,465,868,000 $1,876,529,000 $1,963,608,000 $-61,710,000 $209,050,000 $-9,907,000 $184,517,000
2020 $2,428,962,000 $2,678,109,000 $2,554,367,000 $86,146,000 $197,913,000 $-64,165,000 $73,833,000
2019 $1,649,205,000 $2,609,694,000 $2,562,986,000 $-16,187,000 $81,679,000 $-96,818,000 $-156,687,000
2018 $1,655,634,000 $2,363,754,000 $2,293,483,000 $67,874,000 $148,370,000 $-128,737,000 $-29,968,000