Recent Annual Filings for GKOS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $974,756,000 $383,481,000 $529,082,000 $-144,922,000 $-61,318,000 $91,540,000 $78,053,000
2023 $940,414,000 $314,711,000 $448,438,000 $-130,521,000 $-57,758,000 $15,042,000 $-28,621,000
2022 $1,002,383,000 $282,862,000 $381,291,000 $-102,185,000 $-33,083,000 $6,251,000 $17,947,000
2021 $1,049,698,000 $294,011,000 $343,278,000 $-50,582,000 $24,708,000 $39,260,000 $3,962,000
2020 $1,005,502,000 $224,959,000 $357,273,000 $-120,674,000 $-22,988,000 $262,542,000 $34,406,000
2019 $818,400,000 $236,984,000 $287,020,000 $16,016,000 $-369,000 $-9,645,000 $33,160,000
2018 $206,970,000 $181,278,000 $193,646,000 $-11,622,000 $18,864,000 $21,576,000 $14,088,000
2017 $165,836,000 $159,254,000 $159,253,000 $-1,331,000 $25,508,000 $4,667,000 $18,014,000