Recent Annual Filings for GVA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,813,540,000 $3,509,138,000 $3,449,284,000 $29,680,000 $183,707,000 $299,255,000 $123,672,000
2022 $2,167,933,000 $3,301,256,000 $3,209,439,000 $83,004,000 $55,647,000 $-164,311,000 $-119,664,000
2021 $2,494,927,000 $3,010,053,000 $3,019,549,000 $4,090,000 $21,931,000 $-24,446,000 $-23,993,000
2020 $2,379,996,000 $3,562,459,000 $3,728,922,000 $-168,571,000 $268,460,000 $-57,658,000 $169,540,000
2019 $2,502,088,000 $3,445,606,000 $3,522,684,000 $-58,598,000 $111,438,000 $-81,637,000 $-10,521,000
2018 $2,476,601,000 $3,318,414,000 $3,254,259,000 $52,358,000 $86,390,000 $-1,874,000 $44,918,000
2017 $1,871,978,000 $2,989,713,000 $2,885,250,000 $76,806,000 $146,195,000 $-42,624,000 $44,385,000
2016 $1,733,453,000 $2,514,617,000 $2,418,255,000 $67,329,000 $73,146,000 $-40,266,000 $-63,510,000