Recent Annual Filings for GTE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,654,787,000 $621,849,000 $582,388,000 $-3,520,000 $239,321,000 $156,874,000 $40,299,000
2023 $1,326,289,000 $636,957,000 $530,483,000 $-6,287,000 $227,992,000 $-69,597,000 $-62,320,000
2022 $1,335,610,000 $711,388,000 $469,494,000 $139,029,000 $427,711,000 $-113,322,000 $101,954,000
2021 $1,189,111,000 $473,722,000 $450,542,000 $42,482,000 $244,834,000 $-124,810,000 $13,881,000
2020 $1,201,762,000 $237,838,000 $1,091,075,000 $-777,967,000 $81,074,000 $70,453,000 $6,448,000
2019 $2,044,664,000 $570,983,000 $462,818,000 $38,690,000 $177,665,000 $245,066,000 $-43,233,000
2018 $1,676,584,000 $464,030,000 $102,616,000 $284,509,000 $128,378,000 $27,630,000
2017 $1,429,619,000 $421,734,000 $341,228,000 $-31,708,000 $189,644,000 $39,127,000 $-16,589,000