Recent Annual Filings for TFX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,097,914,000 $3,047,324,000 $2,971,846,000 $67,411,000 $635,739,000 $-421,925,000 $104,802,000
2023 $7,532,546,000 $2,974,489,000 $2,540,477,000 $445,445,000 $510,638,000 $38,540,000 $-69,186,000
2022 $6,928,063,000 $2,791,041,000 $2,345,122,000 $306,576,000 $342,141,000 $-217,506,000 $-153,050,000
2021 $6,871,722,000 $2,809,563,000 $2,250,095,000 $435,713,000 $651,419,000 $-715,822,000 $69,204,000
2020 $7,152,559,000 $2,537,156,000 $2,179,424,000 $382,418,000 $436,406,000 $455,163,000 $74,797,000
2019 $6,309,820,000 $2,595,362,000 $2,255,459,000 $458,159,000 $439,525,000 $-418,836,000 $-56,078,000
2018 $6,277,991,000 $2,448,383,000 $2,228,755,000 $124,808,000 $437,378,000 $-206,433,000 $23,603,000
2017 $6,181,492,000 $2,146,303,000 $1,861,392,000 $326,156,000 $419,885,000 $1,141,259,000 $-210,231,000