Recent Annual Filings for GRND

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $479,090,000 $344,636,000 $252,038,000 $-131,001,000 $94,957,000 $-58,853,000 $30,759,000
2023 $444,595,000 $259,691,000 $204,243,000 $-55,768,000 $36,147,000 $-13,036,000 $18,881,000
2022 $438,828,000 $195,015,000 $181,980,000 $852,000 $50,644,000 $-52,112,000 $-7,053,000