Recent Annual Filings for GGG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,139,212,000 $2,113,316,000 $1,524,033,000 $471,505,000 $621,700,000 $-139,863,000 $137,385,000
2023 $2,722,007,000 $2,195,606,000 $1,586,804,000 $540,894,000 $651,017,000 $-268,010,000 $198,755,000
2022 $2,438,900,000 $2,143,521,000 $1,577,797,000 $471,436,000 $377,394,000 $-434,403,000 $-285,106,000
2021 $2,443,198,000 $1,987,608,000 $1,479,143,000 $483,862,000 $456,896,000 $-57,142,000 $245,393,000
2020 $1,988,128,000 $1,650,115,000 $1,275,464,000 $376,078,000 $394,035,000 $-139,471,000 $157,936,000
2019 $1,692,210,000 $1,646,045,000 $1,240,168,000 $318,923,000 $418,734,000 $-174,052,000 $88,855,000
2018 $1,472,741,000 $1,653,292,000 $1,242,526,000 $339,439,000 $367,985,000 $-282,711,000 $19,214,000
2017 $1,379,205,000 $1,474,744,000 $1,127,650,000 $266,851,000 $337,864,000 $-217,076,000 $51,297,000