Recent Annual Filings for GMRE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,256,486,000 $138,780,000 $134,577,000 $180,000 $70,046,000 $-21,886,000 $2,218,000
2023 $1,267,700,000 $141,049,000 $134,007,000 $12,185,000 $68,440,000 $-143,787,000 $-7,731,000
2022 $1,393,261,000 $137,283,000 $124,040,000 $61,306,000 $76,541,000 $62,407,000 $1,696,000
2021 $1,263,485,000 $115,936,000 $98,663,000 $31,315,000 $68,967,000 $127,704,000 $2,006,000
2020 $1,100,906,000 $93,730,000 $96,229,000 $-15,409,000 $34,520,000 $192,720,000 $3,568,000
2019 $884,934,000 $70,726,000 $61,138,000 $6,709,000 $36,427,000 $224,112,000 $2,342,000
2018 $636,099,000 $53,192,000 $46,306,000 $11,465,000 $24,834,000 $124,513,000 $-2,271,000
2017 $474,571,000 $30,344,000 $30,431,000 $-136,000 $11,603,000 $226,488,000 $-14,562,000