Recent Annual Filings for GWRE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,226,294,000 $980,497,000 $1,007,335,000 $-4,489,000 $195,748,000 $1,055,000 $142,394,000
2023 $2,027,888,000 $905,341,000 $1,039,435,000 $-105,869,000 $38,395,000 $-261,579,000 $-207,896,000
2022 $2,266,897,000 $812,614,000 $1,042,329,000 $-194,058,000 $-37,940,000 $-37,335,000 $229,776,000
2021 $2,321,845,000 $743,267,000 $847,548,000 $-67,479,000 $111,587,000 $-159,387,000 $17,941,000
2020 $2,364,852,000 $742,307,000 $766,638,000 $-24,579,000 $113,066,000 $4,955,000 $112,868,000
2019 $2,166,963,000 $719,514,000 $707,062,000 $20,722,000 $116,126,000 $3,954,000 $-183,039,000
2018 $1,978,592,000 $661,067,000 $661,049,000 $-21,617,000 $140,459,000 $573,000,000 $173,964,000
2017 $1,078,901,000 $514,284,000 $481,007,000 $22,021,000 $137,160,000 $14,630,000 $39,594,000