Recent Annual Filings for TECH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,703,867,000 $1,159,060,000 $973,371,000 $155,853,000 $298,981,000 $-122,398,000 $-26,447,000
2023 $2,638,692,000 $1,136,702,000 $798,043,000 $294,399,000 $254,393,000 $22,616,000 $11,360,000
2022 $2,294,805,000 $1,105,599,000 $804,213,000 $254,142,000 $325,272,000 $-242,853,000 $-14,432,000
2021 $2,262,957,000 $931,032,000 $782,857,000 $180,318,000 $352,164,000 $-62,551,000 $46,097,000
2020 $2,027,589,000 $738,691,000 $462,214,000 $215,618,000 $205,217,000 $-183,802,000 $48,510,000
2019 $1,884,410,000 $714,006,000 $601,991,000 $82,048,000 $181,619,000 $134,384,000 $-21,104,000
2018 $1,593,202,000 $642,993,000 $517,041,000 $130,271,000 $170,367,000 $-99,188,000 $30,378,000
2017 $1,558,219,000 $563,003,000 $451,042,000 $97,556,000 $143,448,000 $189,386,000 $27,375,000