Recent Annual Filings for TCX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $798,426,000 $339,337,000 $442,407,000 $-95,253,000 $-4,771,000 $178,836,000 $81,482,000
2022 $664,747,000 $321,142,000 $348,930,000 $-27,130,000 $19,876,000 $132,007,000 $14,391,000
2021 $539,596,000 $304,337,000 $297,067,000 $1,371,000 $29,637,000 $73,135,000 $794,000
2020 $451,903,000 $311,202,000 $300,442,000 $7,638,000 $36,081,000 $5,116,000 $-12,082,000
2019 $425,918,000 $337,145,000 $312,574,000 $16,681,000 $40,381,000 $43,461,000 $7,756,000
2018 $339,575,000 $346,013,000 $319,858,000 $16,325,000 $37,209,000 $-12,937,000 $-5,412,000
2017 $350,650,335 $329,420,741 $305,345,973 $22,227,440 $31,896,640 $65,162,145 $2,944,089
2016 $154,413,372 $189,818,932 $164,706,008 $17,275,760 $21,649,697 $179,601 $7,381,822