Recent Annual Filings for GNTY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,115,554,000 $97,879,000 $58,915,000 $29,715,000 $47,423,000 $-98,691,000 $56,440,000
2023 $3,184,791,000 $96,980,000 $59,841,000 $28,947,000 $39,207,000 $-200,183,000 $-16,943,000
2022 $3,351,495,000 $107,829,000 $58,572,000 $9,858,000 $38,846,000 $252,980,000 $-393,138,000
2021 $3,086,070,000 $95,558,000 $47,002,000 $36,482,000 $43,544,000 $306,948,000 $147,814,000
2020 $2,740,832,000 $89,982,000 $56,685,000 $38,824,000 $42,521,000 $384,324,000 $261,077,000
2019 $2,318,444,000 $78,870,000 $46,813,000 $33,648,000 $32,046,000 $4,898,000 $19,204,000
2018 $2,266,970,000 $68,916,000 $43,721,000 $18,047,000 $28,214,000 $60,602,000 $-19,918,000
2017 $1,962,624,000 $3,746,000 $-18,931,000 $14,799,000 $29,669,000 $118,023,000 $-36,115,000