Recent Annual Filings for THFF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,560,348,000 $264,742,000 $207,588,000 $42,077,000 $60,366,000 $22,520,000 $16,767,000
2023 $4,851,146,000 $228,397,000 $155,904,000 $73,559,000 $86,090,000 $-209,750,000 $-145,758,000
2022 $4,989,281,000 $183,301,000 $95,541,000 $-66,439,000 $78,787,000 $-110,608,000 $-465,510,000
2021 $5,175,099,000 $152,198,000 $86,585,000 $40,797,000 $55,067,000 $287,646,000 $25,337,000
2020 $4,557,544,000 $160,485,000 $94,949,000 $71,109,000 $77,425,000 $468,867,000 $530,044,000
2019 $4,023,250,000 $149,121,000 $88,122,000 $64,825,000 $49,901,000 $36,003,000 $53,038,000
2018 $3,008,718,000 $126,224,000 $68,496,000 $40,199,000 $57,448,000 $-22,843,000 $281,000
2017 $3,000,668,000 $114,195,000 $64,442,000 $28,591,000 $50,135,000 $-24,373,000 $-905,000