Recent Annual Filings for GSAT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $924,309,000 $223,808,000 $223,973,000 $-28,890,000 $74,341,000 $125,793,000 $24,662,000
2022 $833,395,000 $148,504,000 $369,533,000 $-249,563,000 $63,800,000 $-6,048,000 $17,778,000
2021 $814,106,000 $124,297,000 $189,800,000 $-107,791,000 $131,881,000 $-140,282,000 $-53,719,000
2020 $888,093,000 $128,487,000 $187,650,000 $-109,134,000 $22,215,000 $1,164,000 $8,895,000
2019 $965,590,000 $131,718,000 $195,764,000 $15,714,000 $3,048,000 $-7,923,000 $-16,362,000
2018 $1,045,482,000 $130,113,000 $177,492,000 $-3,416,000 $5,920,000 $-18,196,000 $-29,789,000
2017 $1,129,265,000 $112,660,000 $181,446,000 $-90,635,000 $13,857,000 $63,790,000 $57,066,000
2016 $1,132,614,000 $96,861,000 $160,537,000 $-133,191,000 $8,813,000 $18,502,000 $2,754,000