Recent Annual Filings for GRBK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,249,994,000 $2,098,943,000 $1,587,063,000 $417,155,000 $25,912,000 $-93,513,000 $-39,763,000
2023 $1,902,832,000 $1,777,710,000 $1,386,397,000 $306,675,000 $213,342,000 $-93,804,000 $106,189,000
2022 $1,655,675,000 $1,757,793,000 $1,361,328,000 $313,997,000 $90,676,000 $-84,483,000 $-284,000
2021 $1,421,867,000 $1,402,876,000 $1,145,890,000 $204,381,000 $-92,382,000 $154,334,000 $59,919,000
2020 $988,847,000 $976,021,000 $833,208,000 $117,797,000 $35,099,000 $-25,851,000 $-4,050,000
2019 $875,539,000 $791,660,000 $707,331,000 $64,302,000 $-22,063,000 $25,862,000 $-4,070,000
2018 $784,026,000 $623,647,000 $541,976,000 $64,535,000 $-39,476,000 $71,769,000 $1,466,000
2017 $612,230,000 $454,374,000 $390,137,000 $25,206,000 $-18,812,000 $19,934,000 $687,000