Recent Annual Filings for TMUS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $208,035,000,000 $81,400,000,000 $63,390,000,000 $11,446,000,000 $22,293,000,000 $-12,815,000,000 $406,000,000
2023 $207,682,000,000 $78,558,000,000 $64,292,000,000 $8,399,000,000 $18,559,000,000 $-12,097,000,000 $633,000,000
2022 $211,338,000,000 $79,571,000,000 $73,028,000,000 $2,909,000,000 $16,781,000,000 $-6,451,000,000 $-2,029,000,000
2021 $206,563,000,000 $80,118,000,000 $73,226,000,000 $3,240,000,000 $13,917,000,000 $1,709,000,000 $-3,760,000,000
2020 $200,162,000,000 $68,397,000,000 $61,761,000,000 $2,351,000,000 $8,640,000,000 $13,010,000,000 $8,935,000,000
2019 $86,921,000,000 $44,998,000,000 $39,276,000,000 $2,932,000,000 $6,824,000,000 $-2,374,000,000 $325,000,000
2018 $72,468,000,000 $43,310,000,000 $38,001,000,000 $2,556,000,000 $3,899,000,000 $-3,336,000,000 $-16,000,000
2017 $70,563,000,000 $40,604,000,000 $35,716,000,000 $4,543,000,000 $7,962,000,000 $-1,179,000,000 $-4,281,000,000