Recent Annual Filings for GLBZ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $358,956,000 $15,212,000 $15,849,000 $-734,000 $28,000 $8,348,000 $9,223,000
2023 $351,813,000 $13,337,000 $11,836,000 $4,300,000 $1,399,000 $-33,910,000 $-14,851,000
2022 $381,436,000 $12,712,000 $10,727,000 $-18,633,000 $2,225,000 $-41,328,000 $-32,089,000
2021 $442,066,000 $13,517,000 $10,424,000 $1,102,000 $3,656,000 $22,707,000 $25,088,000
2020 $419,486,000 $13,669,000 $11,510,000 $2,417,000 $1,602,000 $32,089,000 $23,803,000
2019 $384,942,000 $14,514,000 $12,463,000 $2,620,000 $2,992,000 $-32,004,000 $-2,664,000
2018 $413,046,000 $14,693,000 $12,980,000 $984,000 $4,136,000 $22,241,000 $3,349,000
2017 $389,450,000 $13,607,000 $11,783,000 $1,194,000 $3,253,000 $25,000 $1,983,000