Recent Annual Filings for TAIT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $17,636,000 $4,141,000 $2,726,000 $914,000 $-258,000 $-1,204,000 $-2,009,000
2023 $18,006,000 $6,108,000 $3,851,000 $1,842,000 $3,150,000 $-1,148,000 $991,000
2022 $17,137,000 $8,423,000 $6,597,000 $3,223,000 $1,691,000 $-1,495,000 $-772,000
2021 $17,122,000 $8,643,000 $6,245,000 $2,003,000 $1,802,000 $-889,000 $-671,000
2020 $14,261,000 $6,696,000 $5,333,000 $1,255,000 $2,052,000 $-592,000 $1,339,000
2019 $13,599,000 $6,783,000 $5,977,000 $716,000 $1,413,000 $-591,000 $819,000
2018 $13,981,000 $8,222,000 $6,846,000 $1,354,000 $2,294,000 $-1,029,000 $1,244,000
2017 $13,567,000 $7,622,000 $6,921,000 $684,000 $388,000 $-1,014,000 $-768,000