Recent Annual Filings for GRC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $890,358,000 $659,511,000 $615,550,000 $34,488,000 $98,225,000 $-54,527,000 $23,535,000
2022 $872,830,000 $521,027,000 $507,155,000 $17,051,000 $13,685,000 $414,113,000 $-117,875,000
2021 $420,754,000 $378,316,000 $341,068,000 $29,898,000 $45,438,000 $-18,553,000 $17,716,000
2020 $394,457,000 $348,967,000 $317,721,000 $23,348,000 $51,162,000 $-16,136,000 $27,322,000
2019 $382,760,000 $398,179,000 $353,013,000 $30,701,000 $62,174,000 $-17,363,000 $34,097,000
2018 $368,282,000 $414,334,000 $364,018,000 $31,135,000 $41,210,000 $-65,551,000 $-33,222,000
2017 $395,015,000 $379,389,000 $340,011,000 $34,511,000 $43,265,000 $-12,268,000 $22,076,000
2016 $382,818,000 $382,071,000 $345,589,000 $26,833,000 $53,434,000 $-11,218,000 $33,880,000