Recent Annual Filings for TMHC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $8,672,087,000 $7,417,831,000 $770,278,000 $806,169,000 $-628,514,000 $80,464,000
2022 $8,470,724,000 $8,224,917,000 $1,055,917,000 $1,107,772,000 $-1,202,597,000 $-109,705,000
2021 $8,727,777,000 $7,501,265,000 $684,222,000 $376,646,000 $-155,000 $302,231,000
2020 $7,737,995,000 $6,129,320,000 $5,805,203,000 $247,477,000 $1,123,282,000 $-604,941,000 $205,537,000
2019 $5,245,686,000 $4,762,059,000 $4,439,787,000 $253,797,000 $393,216,000 $-377,203,000 $-3,287,000
2018 $5,264,441,000 $4,227,393,000 $3,953,877,000 $210,399,000 $135,594,000 $-219,520,000 $-243,644,000
2017 $4,325,893,000 $3,885,290,000 $3,529,634,000 $176,671,000 $386,233,000 $-76,547,000 $273,691,000
2016 $4,220,926,000 $3,550,029,000 $3,235,823,000 $206,319,000 $372,602,000 $-117,261,000 $173,991,000