Recent Annual Filings for GTLS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,123,900,000 $4,160,300,000 $3,841,800,000 $66,500,000 $503,000,000 $-243,700,000 $118,000,000
2023 $9,102,400,000 $3,352,500,000 $3,294,500,000 $125,700,000 $167,200,000 $1,412,500,000 $-2,410,400,000
2022 $5,901,900,000 $1,612,400,000 $1,513,500,000 $-11,300,000 $80,800,000 $2,504,200,000 $2,482,900,000
2021 $3,043,800,000 $1,317,700,000 $1,243,600,000 $36,800,000 $-21,300,000 $381,900,000 $-3,700,000
2020 $2,570,500,000 $1,177,100,000 $1,091,900,000 $347,800,000 $172,700,000 $-363,400,000 $6,100,000
2019 $2,481,400,000 $1,299,100,000 $1,246,300,000 $40,800,000 $133,900,000 $511,600,000 $900,000
2018 $1,897,700,000 $1,084,300,000 $1,015,300,000 $68,200,000 $119,000,000 $38,200,000 $-114,800,000
2017 $1,724,700,000 $988,800,000 $975,200,000 $56,700,000 $47,000,000 $275,200,000 $-150,600,000