Recent Annual Filings for TITN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $1,813,938,000 $2,702,122,000 $2,752,107,000 $-47,005,000 $70,291,000 $-23,619,000 $-2,168,000
2024 $1,992,261,000 $2,758,445,000 $2,607,405,000 $119,220,000 $-32,280,000 $188,577,000 $-5,847,000
2023 $1,188,695,000 $2,209,306,000 $2,074,065,000 $99,021,000 $10,816,000 $21,959,000 $-102,236,000
2022 $946,667,000 $1,711,906,000 $1,625,005,000 $62,376,000 $158,916,000 $-35,335,000 $67,159,000
2021 $815,789,000 $1,411,222,000 $1,380,469,000 $24,075,000 $172,996,000 $-117,939,000 $35,269,000
2020 $975,343,000 $1,305,171,000 $1,290,519,000 $13,073,000 $955,000 $22,869,000 $-13,403,000
2019 $792,438,000 $1,261,505,000 $1,245,351,000 $11,542,000 $46,605,000 $-16,727,000 $2,652,000
2018 $760,308,000 $1,202,938,000 $1,217,377,000 $-3,966,000 $95,812,000 $-71,466,000 $733,000