Recent Annual Filings for GNL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $8,098,977,000 $515,070,000 $528,780,000 $-227,153,000 $143,743,000 $469,009,000 $57,954,000
2022 $3,961,826,000 $378,857,000 $278,639,000 $-2,376,000 $181,820,000 $-149,742,000 $11,134,000
2021 $4,182,956,000 $391,228,000 $280,799,000 $18,839,000 $192,493,000 $218,323,000 $-32,382,000
2020 $3,967,014,000 $330,104,000 $230,708,000 $-1,344,000 $176,851,000 $140,680,000 $-148,594,000
2019 $3,701,605,000 $306,214,000 $214,935,000 $60,193,000 $145,999,000 $300,003,000 $170,594,000
2018 $3,309,478,000 $282,207,000 $268,876,000 $-1,740,000 $144,597,000 $312,192,000 $-4,034,000
2017 $3,038,595,000 $259,295,000 $232,569,000 $59,703,000 $130,954,000 $-30,657,000 $30,399,000
2016 $2,891,467,000 $214,174,000 $162,175,000 $34,425,000 $114,394,000 $-240,878,000 $7,663,000