Recent Annual Filings for GREEL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $64,855,000 $59,533,000 $79,387,000 $-19,788,000 $-12,044,000 $11,239,000 $-4,693,000
2023 $71,179,000 $70,388,000 $99,427,000 $-29,498,000 $-12,971,000 $13,772,000 $-1,905,000
2022 $163,767,000 $89,979,000 $344,718,000 $-271,068,000 $-8,165,000 $62,137,000 $-67,382,000
2021 $341,267,000 $107,277,000 $151,349,000 $-44,480,000 $40,079,000 $173,925,000 $77,547,000