Recent Annual Filings for GPOR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,865,697,000 $958,131,000 $1,194,888,000 $-261,386,000 $650,033,000 $-194,496,000 $-456,000
2023 $3,267,613,000 $1,791,702,000 $816,855,000 $1,470,916,000 $723,181,000 $-191,284,000 $-5,330,000
2022 $2,534,479,000 $1,331,112,000 $787,986,000 $494,701,000 $739,077,000 $-276,783,000 $3,999,000
2021 $2,168,232,000 $808,802,000 $882,386,000 $138,165,000 $465,140,000 $-253,805,000 $-86,601,000
2019 $53,248,000 $15,762,000 $18,037,000 $-2,646,000 $-6,744,000 $-244,000 $-7,206,000
2018 $49,367,000 $15,926,000 $26,427,000 $-10,876,000 $-2,426,000 $-3,645,000 $-6,178,000
2017 $60,387,000 $18,160,000 $24,421,000 $-5,637,000 $365,000 $-5,759,000 $-7,235,000
2016 $65,748,000 $19,991,000 $23,220,000 $-6,616,000 $-192,000 $-11,478,000 $-143,960,000