Recent Annual Filings for GLUE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $438,732,000 $75,622,000 $145,752,000 $-73,332,000 $41,996,000 $98,892,000 $96,436,000
2023 $303,755,000 $-136,324,000 $-43,802,000 $27,492,000 $72,491,000
2022 $342,389,000 $-108,232,000 $-92,466,000 $20,466,000 $-291,219,000
2021 $366,329,000 $-74,923,000 $-59,363,000 $377,562,000 $308,546,000