Recent Annual Filings for TAP.A

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $26,064,300,000 $13,734,300,000 $12,231,300,000 $914,500,000 $1,910,300,000 $-1,138,400,000 $100,400,000
2023 $26,375,100,000 $13,884,600,000 $12,632,100,000 $1,046,500,000 $2,079,000,000 $-981,400,000 $268,900,000
2022 $25,868,300,000 $12,807,500,000 $12,870,000,000 $-388,400,000 $1,502,000,000 $-889,500,000 $-37,400,000
2021 $27,619,000,000 $12,449,900,000 $11,210,900,000 $1,169,800,000 $1,573,500,000 $-1,172,200,000 $-132,700,000
2020 $27,331,100,000 $11,723,800,000 $12,367,700,000 $-949,100,000 $1,695,700,000 $-1,070,400,000 $246,700,000
2019 $28,859,800,000 $13,009,100,000 $12,529,200,000 $309,400,000 $1,897,300,000 $-2,007,000,000 $-543,000,000
2018 $30,109,800,000 $13,338,000,000 $11,978,200,000 $842,600,000 $2,331,300,000 $-1,008,900,000 $653,300,000
2017 $30,246,900,000 $11,002,800,000 $9,621,100,000 $2,150,700,000 $1,866,300,000 $-1,496,400,000 $-168,300,000