Recent Annual Filings for GOOD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,094,348,000 $149,388,000 $125,348,000 $26,742,000 $56,953,000 $-56,287,000 $-1,061,000
2023 $1,133,471,000 $147,584,000 $142,662,000 $69,000 $60,367,000 $-61,362,000 $143,000
2022 $1,201,509,000 $148,981,000 $139,709,000 $21,387,000 $69,177,000 $16,150,000 $2,814,000
2021 $1,143,352,000 $137,688,000 $127,955,000 $12,587,000 $70,126,000 $21,753,000 $-2,898,000
2020 $1,097,908,000 $133,152,000 $118,167,000 $12,766,000 $65,494,000 $39,352,000 $4,588,000
2019 $1,039,508,000 $114,387,000 $104,846,000 $7,563,000 $60,194,000 $74,249,000 $2,406,000
2018 $938,775,000 $106,798,000 $94,474,000 $12,141,000 $55,599,000 $-21,157,000 $2,000
2017 $928,454,000 $94,799,000 $68,337,000 $5,972,000 $46,842,000 $54,415,000 $2,025,000