Recent Annual Filings for TJX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $31,749,000,000 $56,360,000,000 $49,877,000,000 $4,787,000,000 $6,116,000,000 $-3,838,000,000 $-265,000,000
2024 $29,747,000,000 $54,217,000,000 $48,250,000,000 $4,548,000,000 $6,057,000,000 $-4,215,000,000 $123,000,000
2023 $28,349,000,000 $49,936,000,000 $45,300,000,000 $3,579,000,000 $4,084,000,000 $-3,306,000,000 $-750,000,000
2022 $28,461,458,000 $48,549,982,000 $44,152,374,000 $3,201,736,000 $3,057,485,000 $-6,199,758,000 $-4,242,805,000
2021 $30,813,555,000 $32,136,962,000 $32,047,699,000 $157,570,000 $4,561,889,000 $3,228,262,000 $7,252,818,000
2020 $24,145,003,000 $41,716,977,000 $37,310,794,000 $3,229,343,000 $4,066,540,000 $-2,414,871,000 $186,523,000
2019 $14,326,029,000 $38,972,934,000 $34,799,723,000 $2,871,336,000 $4,088,459,000 $-3,097,481,000 $271,752,000
2018 $14,058,015,000 $35,864,664,000 $32,008,076,000 $2,860,315,000 $3,025,624,000 $-2,297,346,000 $-171,372,000