Recent Annual Filings for GHLD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,768,303,000 $1,049,711,000 $930,654,000 $96,932,000 $-659,622,000 $809,690,000 $-2,325,000
2023 $3,676,720,000 $655,187,000 $701,318,000 $-39,137,000 $-91,719,000 $208,949,000 $-19,373,000
2022 $3,239,591,000 $1,164,821,000 $744,802,000 $328,630,000 $1,259,593,000 $-1,353,781,000 $-101,366,000
2021 $4,383,204,000 $1,576,310,000 $1,189,379,000 $283,782,000 $680,459,000 $-667,312,000 $-91,513,000
2020 $4,818,087,000 $1,622,047,000 $1,127,977,000 $370,577,000 $-468,041,000 $718,964,000 $232,898,000