Recent Annual Filings for GRWG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $174,352,000 $188,866,000 $238,218,000 $-49,510,000 $-1,799,000 $-6,213,000 $-2,286,000
2023 $239,090,000 $225,882,000 $272,346,000 $-46,496,000 $1,421,000 $-313,000 $-10,297,000
2022 $293,442,000 $278,166,000 $444,798,000 $-163,747,000 $11,948,000 $-1,693,000 $-1,318,000
2021 $459,338,000 $422,489,000 $407,260,000 $12,786,000 $5,159,000 $-2,382,000 $-136,540,000
2020 $354,733,695 $193,365,479 $184,786,210 $5,328,378 $-213,790 $210,976,060 $164,932,067
2019 $72,022,352 $79,733,568 $77,593,447 $1,878,804 $-3,339,260 $13,489,403 $-1,660,537