Recent Annual Filings for TISI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $528,365,000 $852,272,000 $887,262,000 $-45,463,000 $22,767,000 $-12,747,000 $118,000
2023 $565,744,000 $862,615,000 $933,759,000 $-73,657,000 $-10,986,000 $-1,899,000 $-22,648,000
2022 $616,645,000 $840,208,000 $986,989,000 $57,814,000 $-57,935,000 $-191,971,000 $-7,240,000
2021 $704,485,000 $874,553,000 $1,049,363,000 $-185,073,000 $-35,453,000 $91,850,000 $40,729,000
2020 $730,975,000 $852,539,000 $1,104,457,000 $-234,691,000 $52,764,000 $-23,461,000 $12,411,000
2019 $985,217,000 $1,163,314,000 $1,196,167,000 $-28,215,000 $58,836,000 $-36,805,000 $-6,113,000
2018 $977,821,000 $1,246,929,000 $1,341,138,000 $-75,412,000 $41,859,000 $-23,041,000 $-8,264,000
2017 $1,055,835,000 $1,200,211,000 $1,337,744,000 $-94,957,000 $-13,728,000 $25,592,000 $-19,664,000