Recent Annual Filings for GOCO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,499,570,000 $734,671,000 $816,352,000 $-151,228,000 $109,141,000 $-21,106,000 $74,345,000
2022 $1,659,290,000 $631,675,000 $950,341,000 $-376,622,000 $60,904,000 $-115,051,000 $-67,897,000
2021 $2,068,851,000 $1,062,415,000 $1,551,862,000 $-534,349,000 $-299,006,000 $259,089,000 $-59,873,000
2020 $2,108,796,000 $877,350,000 $941,896,000 $-97,134,000 $-114,217,000 $260,663,000 $131,958,000