Recent Annual Filings for GRMN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $8,603,569,000 $5,228,252,000 $4,027,896,000 $1,338,555,000 $1,376,265,000 $-636,509,000 $406,784,000
2022 $7,731,170,000 $4,860,286,000 $3,795,312,000 $741,217,000 $788,259,000 $-840,617,000 $-197,482,000
2021 $7,854,427,000 $4,982,795,000 $3,775,999,000 $1,016,608,000 $1,012,427,000 $-486,709,000 $40,095,000
2020 $7,031,373,000 $4,186,573,000 $3,083,163,000 $1,119,877,000 $1,135,267,000 $-461,760,000 $431,110,000
2019 $6,166,799,000 $3,757,505,000 $2,770,283,000 $999,930,000 $698,549,000 $-416,028,000 $-174,167,000
2018 $5,382,858,000 $3,347,444,000 $2,524,197,000 $646,534,000 $919,520,000 $-286,161,000 $310,046,000
2017 $5,010,260,000 $3,087,004,000 $2,404,710,000 $787,761,000 $660,842,000 $-448,412,000 $44,605,000
2016 $4,525,133,000 $3,018,665,000 $2,388,995,000 $504,481,000 $705,682,000 $-561,676,000 $13,813,000