Recent Annual Filings for GOGO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,229,231,000 $444,709,000 $393,438,000 $3,517,000 $41,421,000 $198,691,000 $-97,062,000
2023 $781,539,000 $397,577,000 $273,412,000 $131,346,000 $78,970,000 $-120,434,000 $-11,514,000
2022 $759,526,000 $404,067,000 $261,741,000 $120,398,000 $103,405,000 $-28,388,000 $4,612,000
2021 $647,687,000 $335,716,000 $215,090,000 $155,537,000 $65,486,000 $-331,037,000 $-289,602,000
2020 $673,588,000 $269,718,000 $193,367,000 $-248,793,000 $-132,687,000 $44,425,000 $258,195,000
2019 $1,214,700,000 $835,726,000 $799,002,000 $-144,706,000 $64,061,000 $-3,543,000 $-13,441,000
2018 $1,265,096,000 $893,764,000 $920,685,000 $-164,652,000 $-82,311,000 $27,314,000 $-12,613,000
2017 $1,403,175,000 $699,090,000 $763,352,000 $-170,765,000 $60,256,000 $174,936,000 $79,054,000