Recent Annual Filings for GHI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,579,700,160 $91,271,399 $70,176,762 $-8,357,266 $17,994,177 $70,777,238 $-16,428,475
2023 $1,513,400,702 $104,900,664 $83,948,984 $69,868,356 $24,936,759 $-123,403,300 $-44,903,110
2022 $1,567,129,565 $81,073,577 $55,367,890 $-4,729,855 $21,127,738 $198,176,695 $-59,295,214