Recent Annual Filings for GNTX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,760,820,975 $2,313,314,333 $1,841,100,650 $404,635,524 $498,213,220 $-289,251,056 $6,883,747
2023 $2,611,437,552 $2,299,215,044 $1,794,233,870 $435,989,084 $537,249,592 $-230,152,891 $7,680,381
2022 $2,327,229,924 $1,918,958,043 $1,549,234,967 $302,687,174 $338,200,529 $-209,019,053 $-43,557,032
2021 $2,131,391,166 $1,731,169,929 $1,314,818,193 $355,873,424 $362,167,562 $-410,119,973 $-161,059,366
2020 $2,197,941,170 $1,688,189,405 $1,276,376,476 $355,703,776 $464,491,771 $-363,858,794 $127,049,414
2019 $2,168,803,193 $1,858,897,406 $1,358,482,072 $424,995,174 $505,966,864 $-369,959,438 $79,296,344
2018 $2,085,434,068 $1,834,063,697 $1,312,016,750 $435,732,103 $552,418,646 $-719,306,670 $-352,709,218
2017 $2,352,053,912 $1,794,872,578 $1,263,075,874 $415,256,610 $501,002,780 $-400,032,789 $23,257,421