Recent Annual Filings for GTES

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $7,254,500,000 $3,570,200,000 $3,284,900,000 $331,900,000 $481,000,000 $-258,300,000 $142,600,000
2022 $7,191,600,000 $3,554,200,000 $3,296,400,000 $108,700,000 $265,800,000 $-253,100,000 $-79,500,000
2020 $7,426,300,000 $2,793,000,000 $2,722,000,000 $170,900,000 $309,000,000 $-353,800,000 $-112,500,000
2019 $7,411,300,000 $3,087,100,000 $2,888,300,000 $687,600,000 $348,900,000 $-59,300,000 $212,000,000
2018 $6,722,600,000 $3,347,600,000 $3,044,100,000 $145,800,000 $313,500,000 $-198,900,000 $-141,400,000