Recent Annual Filings for GPI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,824,200,000 $19,934,300,000 $19,275,800,000 $471,700,000 $586,300,000 $681,100,000 $-22,800,000
2023 $7,774,100,000 $17,873,700,000 $17,073,500,000 $607,300,000 $190,200,000 $185,200,000 $9,400,000
2022 $6,717,500,000 $16,222,100,000 $15,236,800,000 $930,200,000 $585,900,000 $-67,300,000 $29,200,000
2021 $5,749,400,000 $13,481,900,000 $12,681,000,000 $579,900,000 $1,259,600,000 $-74,000,000 $-68,600,000
2020 $5,089,400,000 $10,851,800,000 $10,481,500,000 $249,400,000 $805,400,000 $-668,100,000 $59,200,000
2019 $5,570,200,000 $12,043,800,000 $11,816,500,000 $164,800,000 $370,900,000 $-67,000,000 $9,400,000
2018 $5,001,075,000 $11,601,358,000 $11,395,955,000 $143,376,000 $269,978,000 $-109,543,000 $-10,911,000
2017 $4,871,065,000 $11,123,721,000 $10,904,718,000 $237,160,000 $198,925,000 $121,476,000 $7,795,000