Recent Annual Filings for TBLA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,718,658,000 $1,766,220,000 $1,752,283,000 $-4,284,000 $184,331,000 $-99,983,000 $50,475,000
2023 $1,707,802,000 $1,439,685,000 $1,516,226,000 $-80,264,000 $84,373,000 $-134,614,000 $10,215,000
2022 $1,529,623,000 $1,401,150,000 $1,405,602,000 $-12,809,000 $53,484,000 $-62,873,000 $-153,426,000