Recent Annual Filings for GME

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $5,875,400,000 $3,823,000,000 $3,685,800,000 $120,900,000 $145,700,000 $3,443,000,000 $3,850,900,000
2024 $2,709,000,000 $5,272,800,000 $5,259,700,000 $-5,000,000 $-203,700,000 $-11,600,000 $-257,100,000
2023 $3,113,400,000 $5,927,200,000 $6,229,300,000 $-316,300,000 $108,200,000 $-7,900,000 $-123,900,000
2022 $3,499,300,000 $6,010,700,000 $6,406,100,000 $-400,700,000 $-434,300,000 $1,200,600,000 $684,900,000
2021 $2,472,600,000 $5,089,800,000 $5,359,700,000 $-185,800,000 $123,700,000 $-55,400,000 $121,500,000
2020 $2,819,700,000 $6,466,000,000 $6,892,800,000 $-495,400,000 $-414,500,000 $-644,700,000 $-1,127,000,000
2019 $4,044,300,000 $8,285,300,000 $9,038,400,000 $-739,500,000 $325,100,000 $-174,700,000 $771,400,000
2018 $5,041,600,000 $9,224,600,000 $9,144,300,000 $94,200,000 $434,900,000 $-202,500,000 $195,000,000