Recent Annual Filings for THRY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $712,165,000 $824,156,000 $570,536,000 $-73,966,000 $89,783,000 $19,216,000 $-2,769,000
2023 $783,170,000 $916,961,000 $778,264,000 $-258,225,000 $148,226,000 $-103,493,000 $2,350,000
2022 $1,177,877,000 $1,202,388,000 $681,060,000 $46,134,000 $148,573,000 $-91,097,000 $4,623,000
2021 $1,300,502,000 $1,113,382,000 $515,326,000 $93,530,000 $170,571,000 $39,088,000 $11,151,000
2020 $1,214,977,000 $1,109,435,000 $957,422,000 $149,221,000 $232,772,000 $-206,067,000 $494,000