Recent Annual Filings for GMGI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $213,717,593 $151,115,532 $149,907,014 $-6,192,125 $23,916,426 $27,712,266 $9,720,648
2023 $35,582,817 $44,174,052 $44,663,496 $-1,040,162 $2,206,367 $-32,322 $2,150,607
2022 $32,571,413 $36,034,856 $35,571,779 $-159,999 $2,771,418 $32,000 $-1,601,991