Recent Annual Filings for TFSL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $17,090,785,000 $734,074,000 $633,761,000 $-21,232,000 $88,600,000 $33,081,000 $-3,028,000
2023 $16,917,979,000 $611,919,000 $518,552,000 $137,313,000 $90,722,000 $1,015,091,000 $97,182,000
2022 $15,789,879,000 $409,333,000 $317,279,000 $165,515,000 $38,929,000 $1,717,404,000 $-118,762,000
2021 $14,057,450,000 $389,351,000 $289,257,000 $145,171,000 $83,155,000 $-640,218,000 $-9,707,000
2020 $14,642,221,000 $455,298,000 $355,053,000 $20,731,000 $121,798,000 $-46,484,000 $222,890,000
2019 $14,542,356,000 $482,087,000 $379,875,000 $-12,364,000 $103,001,000 $244,349,000 $5,368,000
2018 $14,137,331,000 $443,045,000 $321,881,000 $116,163,000 $146,991,000 $329,421,000 $1,557,000
2017 $13,692,563,000 $408,995,000 $275,654,000 $101,011,000 $108,693,000 $683,095,000 $36,979,000