Recent Annual Filings for THO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,020,823,000 $10,043,408,000 $9,694,564,000 $239,389,000 $545,548,000 $-337,677,000 $60,084,000
2023 $7,260,830,000 $11,121,605,000 $10,622,252,000 $486,922,000 $981,633,000 $-635,685,000 $129,679,000
2022 $7,408,132,000 $16,312,525,000 $14,852,661,000 $910,582,000 $990,253,000 $-47,841,000 $-137,016,000
2021 $6,654,088,000 $12,317,380,000 $11,472,799,000 $678,581,000 $526,482,000 $-188,438,000 $-92,657,000
2020 $5,771,460,000 $8,167,933,000 $7,895,037,000 $305,120,000 $540,941,000 $-392,916,000 $90,101,000
2019 $5,660,446,000 $7,864,758,000 $7,680,092,000 $74,867,000 $508,019,000 $1,539,073,000 $176,013,000
2018 $2,778,665,000 $8,328,909,000 $7,695,880,000 $430,151,000 $466,508,000 $-231,024,000 $51,991,000
2017 $2,557,931,000 $7,246,952,000 $6,690,566,000 $374,254,000 $419,333,000 $-289,322,000 $13,356,000