Recent Annual Filings for GHC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,677,205,000 $4,790,904,000 $4,575,400,000 $453,070,000 $406,988,000 $-240,967,000 $95,962,000
2023 $7,187,730,000 $4,414,877,000 $4,345,484,000 $489,890,000 $259,875,000 $-99,835,000 $11,459,000
2022 $6,582,215,000 $3,924,493,000 $3,840,595,000 $-564,803,000 $235,604,000 $-18,107,000 $31,589,000
2021 $7,425,525,000 $3,185,974,000 $3,108,599,000 $721,401,000 $202,426,000 $31,027,000 $-264,211,000
2020 $6,444,119,000 $2,889,121,000 $2,788,714,000 $599,987,000 $210,663,000 $-204,002,000 $209,010,000
2019 $5,931,236,000 $2,932,099,000 $2,787,553,000 $427,345,000 $165,164,000 $18,734,000 $-50,071,000
2018 $4,764,041,000 $2,695,966,000 $2,449,805,000 $134,571,000 $287,019,000 $-192,359,000 $-143,451,000
2017 $4,937,823,000 $2,591,846,000 $2,382,744,000 $530,625,000 $268,055,000 $-100,106,000 $-263,250,000