Recent Annual Filings for GEVO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $583,941,000 $16,915,000 $107,739,000 $-78,640,000 $-57,383,000 $-7,362,000 $-116,564,000
2023 $650,322,000 $17,200,000 $99,035,000 $-65,175,000 $-53,719,000 $-189,000 $60,221,000
2022 $700,748,000 $1,175,000 $103,861,000 $-98,433,000 $-52,613,000 $138,562,000 $179,343,000
2021 $666,476,000 $711,000 $60,801,000 $-59,817,000 $-43,536,000 $512,851,000 $57,695,000
2020 $152,099,000 $5,536,000 $31,871,000 $-40,186,000 $-19,338,000 $87,279,000 $62,036,000
2019 $93,359,000 $24,487,000 $50,838,000 $-28,660,000 $-20,839,000 $10,864,000 $-17,432,000
2018 $107,035,000 $32,863,000 $55,064,000 $-27,976,000 $-15,851,000 $40,265,000 $22,181,000
2017 $88,853,000 $27,536,000 $50,818,000 $-24,630,000 $-20,627,000 $6,198,000 $-16,335,000