Recent Annual Filings for TALO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $4,816,309,000 $1,457,886,000 $1,248,096,000 $187,332,000 $519,069,000 $85,411,000 $91,854,000
2022 $3,058,626,000 $1,651,980,000 $915,861,000 $381,915,000 $709,739,000 $-423,469,000 $-25,707,000
2021 $2,766,815,000 $1,244,540,000 $869,924,000 $-182,952,000 $411,388,000 $-82,022,000 $35,619,000
2020 $2,834,546,000 $587,486,000 $1,008,796,000 $-465,605,000 $301,923,000 $324,192,000 $-52,789,000
2019 $2,589,482,000 $927,620,000 $714,526,000 $58,729,000 $393,733,000 $48,083,000 $-54,140,000
2018 $2,479,986,000 $891,288,000 $638,159,000 $221,540,000 $263,445,000 $-193,211,000 $107,729,000