Recent Annual Filings for GTX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,276,000,000 $3,475,000,000 $3,132,000,000 $358,000,000 $408,000,000 $-520,000,000 $-126,000,000
2023 $2,527,000,000 $3,886,000,000 $3,539,000,000 $222,000,000 $465,000,000 $-403,000,000 $7,000,000
2022 $2,637,000,000 $3,603,000,000 $3,107,000,000 $430,000,000 $375,000,000 $-482,000,000 $-198,000,000
2021 $2,706,000,000 $3,633,000,000 $3,095,000,000 $620,000,000 $-310,000,000 $139,000,000 $-242,000,000
2019 $2,275,000,000 $3,248,000,000 $2,902,000,000 $370,000,000 $242,000,000 $-163,000,000 $-7,000,000
2018 $2,104,000,000 $3,375,000,000 $2,979,000,000 $1,015,000,000 $373,000,000 $-658,000,000 $-104,000,000