Recent Annual Filings for GNK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,141,902,000 $383,825,000 $389,672,000 $-18,309,000 $91,784,000 $-17,403,000 $-17,243,000
2022 $1,173,866,000 $536,934,000 $369,696,000 $165,019,000 $189,323,000 $-190,739,000 $-56,431,000
2021 $1,203,002,000 $547,129,000 $346,014,000 $182,870,000 $231,119,000 $-222,694,000 $-59,148,000
2020 $1,232,809,000 $355,560,000 $558,897,000 $-225,573,000 $36,896,000 $-56,905,000 $17,430,000
2019 $1,528,892,000 $389,496,000 $417,899,000 $-55,985,000 $59,526,000 $-77,189,000 $-40,512,000
2018 $1,627,470,000 $367,522,000 $367,006,000 $-32,940,000 $65,907,000 $127,283,000 $-2,185,000
2017 $1,520,959,000 $209,698,000 $239,313,000 $-58,725,000 $26,515,000 $-5,598,000 $35,878,000
2016 $1,568,960,000 $135,586,000 $322,062,000 $-217,736,000 $-49,982,000 $55,435,000 $12,326,000