Recent Annual Filings for GETY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,563,708,000 $939,287,000 $758,482,000 $2,778,000 $118,320,000 $-56,218,000 $-10,386,000
2023 $2,601,761,000 $916,555,000 $788,883,000 $41,429,000 $132,716,000 $-45,350,000 $30,367,000
2022 $2,468,183,000 $926,244,000 $724,211,000 $-108,168,000 $163,117,000 $-184,347,000 $-82,521,000