Recent Annual Filings for GOSS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $315,292,000 $114,701,000 $170,336,000 $-54,989,000 $-3,468,000 $-11,488,000 $14,067,000
2023 $311,916,000 $-179,593,000 $-159,158,000 $190,154,000 $-79,974,000
2022 $272,450,000 $-229,997,000 $-187,032,000 $117,090,000 $-70,977,000
2021 $343,657,000 $-234,558,000 $-188,890,000 $3,329,000 $-302,988,000
2020 $539,433,000 $-243,019,000 $-176,360,000 $312,540,000 $351,522,000
2019 $426,604,000 $-179,988,000 $-144,834,000 $321,578,000 $29,600,000