Recent Annual Filings for GTY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,973,680,000 $203,391,000 $132,327,000 $73,221,000 $130,504,000 $78,296,000 $8,331,000
2023 $1,822,305,000 $185,846,000 $125,695,000 $56,130,000 $105,298,000 $199,444,000 $-5,963,000
2022 $1,562,295,000 $165,588,000 $75,545,000 $90,043,000 $93,086,000 $30,758,000 $-15,212,000
2021 $1,466,948,000 $155,408,000 $92,548,000 $62,860,000 $86,818,000 $52,321,000 $-30,593,000
2020 $1,349,512,000 $147,346,000 $77,958,000 $69,388,000 $82,827,000 $77,980,000 $33,390,000
2019 $1,211,777,000 $140,655,000 $90,932,000 $49,723,000 $76,774,000 $-19,299,000 $-25,078,000
2018 $1,159,175,000 $136,106,000 $87,696,000 $47,706,000 $63,346,000 $40,514,000 $27,929,000
2017 $1,072,754,000 $120,153,000 $75,105,000 $47,186,000 $56,742,000 $157,094,000 $7,619,000