Recent Annual Filings for TMP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,109,080,000 $79,330,000 $-13,646,000 $77,486,000 $94,966,000 $210,331,000 $54,856,000
2023 $7,819,749,000 $75,027,000 $62,903,000 $93,313,000 $89,003,000 $59,003,000 $1,705,000
2022 $7,670,686,000 $73,972,000 $-35,741,000 $-67,583,000 $103,340,000 $-80,166,000 $14,730,000
2021 $7,819,982,000 $72,601,000 $-41,972,000 $65,515,000 $121,177,000 $136,762,000 $-325,355,000
2020 $7,622,171,000 $65,746,000 $-31,920,000 $89,232,000 $101,387,000 $792,812,000 $250,480,000
2019 $6,725,623,000 $67,555,000 $-35,306,000 $101,446,000 $101,615,000 $-178,008,000 $57,593,000
2018 $6,758,436,000 $65,961,000 $-38,279,000 $70,501,000 $107,265,000 $32,421,000 $-3,914,000
2017 $6,648,290,000 $226,764,000 $131,522,000 $48,393,000 $86,065,000 $361,235,000 $20,349,000