Recent Annual Filings for GMS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,759,840,000 $5,501,907,000 $5,127,741,000 $279,689,000 $433,249,000 $-437,000 $1,403,000
2023 $3,267,008,000 $5,329,252,000 $4,881,749,000 $303,905,000 $441,737,000 $-265,609,000 $62,829,000
2022 $3,104,399,000 $4,634,875,000 $4,270,056,000 $262,640,000 $179,611,000 $143,278,000 $-65,096,000
2021 $2,483,898,000 $3,298,823,000 $3,161,729,000 $175,401,000 $153,304,000 $-136,622,000 $-43,897,000
2020 $2,288,782,000 $3,241,307,000 $3,194,982,000 $-15,127,000 $303,079,000 $-91,334,000 $163,571,000
2019 $2,149,554,000 $3,116,032,000 $3,045,991,000 $28,987,000 $193,615,000 $418,970,000 $10,901,000
2018 $1,454,511,000 $2,511,469,000 $2,427,615,000 $64,296,000 $88,616,000 $-17,531,000 $21,876,000
2017 $1,393,265,000 $2,319,146,000 $2,247,606,000 $49,150,000 $66,708,000 $86,297,000 $-4,511,000