Recent Annual Filings for GTEC
Fiscal Year |
Assets |
Revenues |
Costs & Expenses |
Comprehensive Income |
Cash Flow - Operating |
Cash Flow - Financing |
Total Net Cash Flow |
2024 |
$115,576,195 |
$83,944,661 |
$67,277,748 |
$13,935,894 |
$13,341,886 |
$-30,900,924 |
$-19,577,592 |
2023 |
$130,476,967 |
$90,333,240 |
$113,642,468 |
$-24,174,844 |
$2,449,040 |
$2,865,814 |
$8,460,331 |
2022 |
$155,115,341 |
$90,830,674 |
$83,514,288 |
$876,534 |
$7,313,245 |
$-4,284,479 |
$1,928,164 |
2021 |
$162,568,442 |
$98,839,900 |
$89,728,419 |
$8,744,931 |
$-5,755,940 |
$14,462,981 |
$8,397,839 |
2020 |
$131,978,737 |
$66,864,375 |
$58,219,815 |
$7,309,192 |
$2,695,570 |
$2,307,164 |
$3,685,846 |
2019 |
$106,483,843 |
$52,400,844 |
$46,466,311 |
$4,397,876 |
$7,999,230 |
$-9,644,359 |
$-3,245,417 |