Recent Annual Filings for GPN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $50,570,186,000 $9,654,419,000 $7,938,033,000 $1,226,264,000 $2,248,741,000 $2,141,121,000 $41,269,000
2022 $44,809,014,000 $8,975,515,000 $8,335,364,000 $-41,775,000 $2,244,040,000 $-1,376,701,000 $92,583,000
2021 $45,279,713,000 $8,523,762,000 $7,164,886,000 $945,582,000 $2,780,825,000 $-405,365,000 $33,252,000
2020 $44,201,545,000 $7,423,558,000 $6,529,605,000 $740,096,000 $2,314,150,000 $-1,546,142,000 $411,498,000
2019 $44,480,162,000 $4,911,892,000 $4,120,475,000 $466,155,000 $1,391,278,000 $-28,674,000 $467,395,000
2018 $13,230,774,000 $3,366,366,000 $2,629,311,000 $356,783,000 $1,106,082,000 $286,930,000 $-124,977,000
2017 $12,998,069,000 $3,975,163,000 $3,416,295,000 $647,450,000 $512,388,000 $352,305,000 $173,076,000
2016 $10,509,952,000 $2,898,150,000 $2,473,206,000 $230,630,000 $585,001,000 $1,965,487,000 $393,989,000