Recent Annual Filings for TENB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,742,119,000 $900,021,000 $906,877,000 $-36,021,000 $217,476,000 $-79,401,000 $91,515,000
2023 $1,606,871,000 $798,710,000 $850,870,000 $-76,895,000 $149,855,000 $1,251,000 $-63,734,000
2022 $1,439,530,000 $683,191,000 $751,006,000 $-93,267,000 $131,151,000 $23,318,000 $22,595,000
2021 $1,248,819,000 $541,130,000 $582,898,000 $-46,993,000 $96,765,000 $397,646,000 $99,808,000
2020 $690,589,000 $440,221,000 $476,654,000 $-42,771,000 $64,232,000 $36,403,000 $103,798,000
2019 $558,612,000 $354,586,000 $445,385,000 $-98,963,000 $-10,744,000 $34,161,000 $-90,713,000
2018 $460,612,000 $267,360,000 $339,941,000 $-73,521,000 $-2,559,000 $264,749,000 $137,906,000