Recent Annual Filings for GURE
Fiscal Year |
Assets |
Revenues |
Costs & Expenses |
Comprehensive Income |
Cash Flow - Operating |
Cash Flow - Financing |
Total Net Cash Flow |
2024 |
$169,455,995 |
$7,661,010 |
$64,948,280 |
$-61,736,326 |
$675,068 |
$-249,240 |
$2,023,072 |
2023 |
$226,671,708 |
$30,043,790 |
$88,300,452 |
$-66,821,259 |
$-32,751,851 |
$-267,810 |
$2,982,659 |
2022 |
$292,431,342 |
$66,094,486 |
$49,448,051 |
$-14,826,668 |
$51,149,065 |
$-264,863 |
$12,458,951 |
2021 |
$309,856,862 |
$55,030,586 |
$49,657,086 |
$6,480,864 |
$23,311,169 |
$-290,597 |
$1,544,725 |
2020 |
$294,037,818 |
$28,207,024 |
$37,890,416 |
$11,525,010 |
$9,305,627 |
$-264,976 |
$-6,079,448 |
2019 |
$279,250,985 |
$10,596,521 |
$33,890,904 |
$-30,813,804 |
$-15,309,112 |
$-275,509 |
$-78,696,949 |
2018 |
$298,546,790 |
$2,594,941 |
$86,147,472 |
$-88,604,992 |
$17,340,671 |
$-294,295 |
$-29,907,824 |
2017 |
$387,499,423 |
$107,522,441 |
$96,350,830 |
$26,708,798 |
$62,751,616 |
$-273,873 |
$45,022,185 |