Recent Annual Filings for TFC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $531,176,000,000 $25,066,000,000 $25,667,000,000 $9,133,000,000 $2,164,000,000 $-11,638,000,000 $9,124,000,000
2023 $535,349,000,000 $24,456,000,000 $24,641,000,000 $48,000,000 $8,631,000,000 $-22,266,000,000 $9,223,000,000
2022 $555,255,000,000 $16,637,000,000 $8,968,000,000 $-5,730,000,000 $11,081,000,000 $20,017,000,000 $1,126,000,000
2021 $541,241,000,000 $13,774,000,000 $5,781,000,000 $4,117,000,000 $7,892,000,000 $25,591,000,000 $1,427,000,000
2020 $509,228,000,000 $15,548,000,000 $10,075,000,000 $6,052,000,000 $7,437,000,000 $36,018,000,000 $-197,000,000
2019 $473,078,000,000 $9,409,000,000 $5,390,000,000 $4,108,000,000 $1,520,000,000 $5,353,000,000 $15,221,000,000