Recent Annual Filings for GIFI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $133,216,000 $159,199,000 $144,509,000 $14,741,000 $18,248,000 $-3,462,000 $-11,170,000
2023 $128,428,000 $151,067,000 $175,510,000 $-24,402,000 $7,197,000 $-1,867,000 $4,827,000
2022 $134,866,000 $142,320,000 $145,649,000 $-3,352,000 $-8,923,000 $-1,972,000 $-19,765,000
2021 $135,273,000 $93,452,000 $98,272,000 $-22,168,000 $-24,814,000 $-1,158,000 $11,430,000
2020 $231,343,000 $250,959,000 $278,386,000 $-27,375,000 $-19,008,000 $9,855,000 $-6,544,000
2019 $252,777,000 $303,308,000 $352,798,000 $-49,394,000 $-7,140,000 $-843,000 $-20,754,000
2018 $258,290,000 $221,247,000 $241,054,000 $-20,378,000 $-20,392,000 $-852,000 $61,474,000
2017 $270,840,000 $171,022,000 $239,981,000 $-44,766,000 $-39,385,000 $-1,664,000 $-42,184,000