Recent Annual Filings for TGNA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,326,519,000 $3,101,971,000 $2,317,187,000 $612,009,000 $684,967,000 $-384,558,000 $332,178,000
2023 $7,000,057,000 $2,910,930,000 $2,177,385,000 $482,270,000 $587,249,000 $-749,905,000 $-190,645,000
2022 $7,328,896,000 $3,279,245,000 $2,288,613,000 $602,881,000 $812,151,000 $-266,227,000 $494,692,000
2021 $6,917,646,000 $2,991,093,000 $2,188,877,000 $502,057,000 $501,612,000 $-416,335,000 $16,021,000
2020 $6,848,699,000 $2,937,780,000 $2,066,798,000 $504,284,000 $805,136,000 $-734,051,000 $11,564,000
2019 $6,953,976,000 $2,299,497,000 $1,740,479,000 $280,149,000 $297,473,000 $1,159,539,000 $-106,458,000
2018 $5,276,842,000 $2,207,282,000 $1,508,806,000 $400,922,000 $527,209,000 $-144,972,000 $7,821,000
2017 $4,962,115,000 $1,903,026,000 $1,357,124,000 $266,458,000 $386,211,000 $-539,149,000 $21,881,000