Recent Annual Filings for GOLF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,196,677,000 $2,381,995,000 $2,140,395,000 $204,404,000 $371,827,000 $-264,725,000 $6,531,000
2022 $2,193,807,000 $2,270,336,000 $2,010,901,000 $194,998,000 $-67,787,000 $-8,584,000 $-222,773,000
2021 $2,005,836,000 $2,147,930,000 $1,900,107,000 $180,840,000 $314,122,000 $-140,326,000 $130,225,000
2020 $1,866,555,000 $1,612,169,000 $1,499,120,000 $115,857,000 $264,425,000 $-128,587,000 $117,268,000
2019 $1,817,049,000 $1,681,357,000 $1,516,192,000 $101,576,000 $134,283,000 $-70,328,000 $3,170,000
2018 $1,691,621,000 $1,633,721,000 $1,483,417,000 $101,856,000 $163,733,000 $-128,883,000 $-16,708,000
2017 $1,727,324,000 $1,560,258,000 $1,408,582,000 $105,763,000 $-27,037,000 $9,255,000 $-31,418,000
2016 $1,736,171,000 $1,572,275,000 $1,407,142,000 $25,915,000 $105,188,000 $-62,663,000 $20,006,000