Recent Annual Filings for GPC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $19,282,705,000 $23,486,569,000 $22,310,601,000 $619,205,000 $1,251,251,000 $-333,936,000 $-622,016,000
2023 $17,968,454,000 $23,090,610,000 $21,348,262,000 $1,372,194,000 $1,435,610,000 $-292,161,000 $448,544,000
2022 $16,495,379,000 $22,095,973,000 $20,523,371,000 $1,007,898,000 $1,466,971,000 $205,101,000 $-61,238,000
2021 $14,352,102,000 $18,870,510,000 $17,670,164,000 $1,077,553,000 $1,258,285,000 $-989,532,000 $-275,465,000
2020 $13,440,215,000 $16,537,433,000 $16,158,065,000 $75,704,000 $2,019,561,000 $-1,513,765,000 $713,174,000
2019 $14,645,629,000 $19,392,305,000 $18,562,005,000 $717,381,000 $892,010,000 $-385,962,000 $-56,555,000
2018 $12,683,040,000 $18,735,073,000 $17,659,461,000 $547,988,000 $1,145,164,000 $-608,830,000 $18,648,000
2017 $12,412,381,000 $16,308,801,000 $15,299,533,000 $777,186,000 $815,043,000 $872,059,000 $72,020,000