Recent Annual Filings for GSIT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $42,464,000 $21,765,000 $41,782,000 $-20,047,000 $-17,350,000 $1,807,000 $-12,783,000
2023 $59,876,000 $29,691,000 $45,296,000 $-15,950,000 $-16,845,000 $402,000 $-9,759,000
2022 $76,422,000 $33,384,000 $49,797,000 $-16,502,000 $-13,826,000 $2,368,000 $-7,263,000
2021 $87,612,000 $27,729,000 $48,899,000 $-21,596,000 $-15,252,000 $4,693,000 $-7,272,000
2020 $102,561,000 $43,343,000 $53,433,000 $-10,229,000 $-4,681,000 $3,721,000 $9,011,000
2019 $106,223,000 $51,486,000 $51,218,000 $268,000 $3,006,000 $2,722,000 $2,254,000
2018 $99,540,000 $42,643,000 $46,705,000 $-4,595,000 $1,065,000 $2,629,000 $6,505,000
2017 $102,595,000 $48,180,000 $48,229,000 $-204,000 $2,053,000 $-5,098,000 $1,773,000