Recent Annual Filings for GH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,485,609,000 $739,016,000 $1,182,610,000 $-437,899,000 $-239,858,000 $-996,000 $-502,162,000
2023 $1,786,421,000 $563,948,000 $1,128,673,000 $-463,602,000 $-324,975,000 $477,375,000 $992,650,000
2022 $1,609,985,000 $449,538,000 $993,916,000 $-669,346,000 $-309,463,000 $-189,093,000 $-348,740,000
2021 $2,204,499,000 $373,653,000 $784,654,000 $-392,231,000 $-209,017,000 $-66,824,000 $-338,996,000
2020 $2,271,781,000 $286,730,000 $541,680,000 $-244,697,000 $-103,927,000 $1,410,307,000 $689,294,000
2019 $962,535,000 $214,375,000 $296,746,000 $-66,657,000 $-47,134,000 $367,304,000 $2,600,000
2018 $587,403,000 $90,639,000 $183,581,000 $-83,814,000 $-72,185,000 $293,161,000 $67,948,000