Recent Annual Filings for TACT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $44,034,000 $43,384,000 $46,952,000 $-9,868,000 $1,861,000 $634,000 $2,073,000
2023 $54,198,000 $72,631,000 $66,728,000 $4,778,000 $5,507,000 $-87,000 $4,375,000
2022 $51,832,000 $58,139,000 $66,040,000 $-6,158,000 $-12,220,000 $2,062,000 $-11,511,000
2021 $50,941,000 $39,386,000 $45,602,000 $-3,964,000 $-2,510,000 $11,472,000 $9,098,000
2020 $42,247,000 $30,595,000 $38,764,000 $-5,637,000 $-3,510,000 $11,031,000 $6,156,000
2019 $36,061,000 $45,748,000 $45,381,000 $567,000 $4,846,000 $-2,897,000 $-488,000
2018 $34,956,000 $54,587,000 $48,121,000 $5,443,000 $5,109,000 $-4,516,000 $-816,000
2017 $33,950,000 $56,311,000 $49,539,000 $3,221,000 $5,918,000 $-1,919,000 $3,004,000