Recent Annual Filings for GIS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $31,469,900,000 $2,037,800,000 $-990,500,000 $2,253,800,000 $3,302,600,000 $-2,272,300,000 $-167,100,000
2023 $31,451,700,000 $1,957,400,000 $-1,183,100,000 $2,287,500,000 $2,778,600,000 $-2,404,100,000 $28,100,000
2022 $31,090,100,000 $2,134,300,000 $-1,075,300,000 $3,166,000,000 $3,316,100,000 $-2,503,200,000 $-877,800,000
2021 $31,841,900,000 $2,189,200,000 $-668,200,000 $2,825,000,000 $2,983,200,000 $-2,715,500,000 $-172,600,000
2020 $30,806,700,000 $17,626,600,000 $15,026,400,000 $1,892,200,000 $3,676,200,000 $-1,941,500,000 $1,227,800,000
2019 $30,111,200,000 $16,865,200,000 $14,783,200,000 $1,556,700,000 $2,807,000,000 $-2,176,400,000 $51,000,000
2018 $30,624,000,000 $15,740,400,000 $13,604,800,000 $2,302,800,000 $2,841,000,000 $5,445,500,000 $-367,100,000
2017 $21,812,600,000 $15,619,800,000 $13,348,500,000 $2,039,000,000 $2,313,300,000 $-1,645,500,000 $2,400,000