Recent Annual Filings for GSBC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,981,628,000 $324,698,000 $249,201,000 $49,926,000 $44,064,000 $115,753,000 $-15,577,000
2023 $5,812,402,000 $296,835,000 $211,491,000 $78,674,000 $80,700,000 $50,321,000 $42,813,000
2022 $5,680,702,000 $226,977,000 $132,775,000 $-10,166,000 $66,580,000 $185,953,000 $-548,747,000
2021 $5,449,944,000 $198,673,000 $104,309,000 $54,235,000 $84,976,000 $-122,151,000 $153,538,000
2020 $5,526,420,000 $217,703,000 $144,611,000 $80,218,000 $46,048,000 $428,872,000 $343,574,000
2019 $5,015,072,000 $234,994,000 $144,933,000 $96,231,000 $86,419,000 $226,143,000 $17,413,000
2018 $4,676,200,000 $205,949,000 $123,999,000 $75,223,000 $94,195,000 $247,617,000 $-39,511,000
2017 $4,414,521,000 $183,061,000 $112,739,000 $51,247,000 $62,817,000 $-181,712,000 $-37,516,000