Recent Annual Filings for GNE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $371,275,000 $425,202,000 $405,333,000 $13,584,000 $70,742,000 $-15,750,000 $38,955,000
2023 $330,555,000 $428,708,000 $410,600,000 $21,654,000 $62,478,000 $-15,157,000 $60,961,000
2022 $277,615,000 $315,539,000 $238,016,000 $84,234,000 $80,684,000 $-25,523,000 $5,839,000
2021 $229,465,000 $363,725,000 $331,064,000 $27,552,000 $66,994,000 $-5,675,000 $63,976,000
2020 $187,339,000 $379,312,000 $355,444,000 $16,346,000 $23,119,000 $-15,194,000 $4,630,000
2019 $156,244,000 $315,291,000 $309,312,000 $860,000 $15,752,000 $-15,623,000 $-5,643,000
2018 $146,864,000 $280,309,000 $271,285,000 $21,403,000 $19,374,000 $-4,155,000 $12,270,000
2017 $125,778,000 $264,202,000 $271,124,000 $-7,731,000 $9,287,000 $1,854,000 $-5,279,000