Recent Annual Filings for TASK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $953,298,000 $994,985,000 $902,561,000 $30,032,000 $138,888,000 $-25,176,000 $66,390,000
2023 $864,202,000 $924,365,000 $829,327,000 $46,786,000 $143,670,000 $-119,085,000 $-8,216,000
2022 $902,015,000 $960,489,000 $876,592,000 $31,938,000 $147,095,000 $-4,035,000 $70,408,000
2021 $749,998,000 $760,703,000 $814,985,000 $-64,277,000 $-32,674,000 $54,390,000 $-44,144,000