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