Recent Annual Filings for GLPI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $13,075,949,000 $1,531,546,000 $400,861,000 $807,648,000 $1,072,770,000 $311,823,000 $-221,351,000
2023 $11,806,658,000 $1,440,392,000 $371,688,000 $755,370,000 $1,009,372,000 $86,353,000 $444,900,000
2022 $10,930,386,000 $1,311,685,000 $281,770,000 $703,285,000 $920,126,000 $-1,051,150,000 $-485,512,000
2021 $10,690,449,000 $1,216,351,000 $374,583,000 $534,086,000 $803,778,000 $443,069,000 $216,013,000
2020 $9,034,368,000 $1,153,165,000 $643,577,000 $505,711,000 $428,077,000 $63,169,000 $481,759,000
2019 $8,434,298,000 $1,153,473,000 $757,828,000 $390,881,000 $750,302,000 $-746,445,000 $1,040,000
2018 $8,577,293,000 $1,055,727,000 $711,247,000 $339,516,000 $654,433,000 $852,080,000 $-3,271,000
2017 $7,246,882,000 $971,307,000 $580,922,000 $380,598,000 $598,711,000 $-606,911,000 $-7,502,000