Recent Annual Filings for GRNT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,036,479,000 $380,030,000 $355,064,000 $18,759,000 $275,733,000 $33,724,000 $-1,311,000
2023 $927,104,000 $394,069,000 $288,487,000 $81,099,000 $302,867,000 $13,406,000 $-40,403,000
2022 $794,777,000 $497,417,000 $222,223,000 $262,344,000 $346,389,000 $-76,848,000 $38,979,000