Recent Annual Filings for TIPT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $5,139,313,000 $1,649,031,000 $1,565,978,000 $58,108,000 $71,452,000 $113,406,000 $-58,286,000
2022 $4,039,563,000 $1,397,752,000 $1,343,741,000 $-44,107,000 $463,073,000 $-115,186,000 $355,573,000
2021 $3,599,147,000 $1,200,514,000 $1,135,172,000 $35,663,000 $204,316,000 $73,735,000 $4,292,000
2020 $2,995,760,000 $810,301,000 $849,153,000 $-21,276,000 $140,169,000 $31,749,000 $48,427,000
2019 $2,198,286,000 $772,728,000 $743,589,000 $24,001,000 $23,742,000 $36,928,000 $52,343,000
2018 $1,864,918,000 $625,826,000 $645,622,000 $26,200,000 $57,724,000 $-2,003,000 $-53,386,000
2017 $1,989,742,000 $581,798,000 $585,128,000 $5,789,000 $46,919,000 $-194,406,000 $58,190,000
2016 $2,890,050,000 $567,154,000 $523,838,000 $33,508,000 $36,643,000 $276,952,000 $-6,390,000