Recent Annual Filings for GSHD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $354,892,000 $261,276,000 $234,888,000 $23,696,000 $50,758,000 $-17,916,000 $13,660,000
2022 $321,353,000 $209,390,000 $204,261,000 $2,630,000 $35,724,000 $-23,245,000 $-92,000
2021 $267,798,000 $151,312,000 $145,308,000 $8,296,000 $35,444,000 $-15,826,000 $4,243,000
2020 $185,837,000 $117,014,000 $99,294,000 $18,755,000 $24,643,000 $-3,334,000 $10,976,000
2019 $64,628,000 $77,486,000 $65,800,000 $10,382,000 $21,241,000 $-20,914,000 $-3,751,000
2018 $34,798,000 $60,148,000 $78,366,000 $-18,667,000 $10,275,000 $5,592,000 $13,687,000