Recent Annual Filings for TNDM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $967,658,000 $940,203,000 $1,032,073,000 $-99,341,000 $24,225,000 $8,367,000 $10,366,000
2023 $952,658,000 $747,718,000 $967,972,000 $-219,425,000 $-31,810,000 $4,113,000 $-113,649,000
2022 $1,052,785,000 $801,217,000 $894,069,000 $-95,795,000 $50,464,000 $16,877,000 $101,336,000
2021 $905,137,000 $702,799,000 $686,898,000 $14,730,000 $111,359,000 $51,932,000 $-23,432,000
2020 $716,415,000 $498,830,000 $535,112,000 $-34,284,000 $24,669,000 $314,438,000 $43,438,000
2019 $326,110,000 $362,305,000 $386,909,000 $-24,618,000 $41,905,000 $24,207,000 $9,348,000
2018 $206,294,000 $183,866,000 $306,426,000 $-122,624,000 $-8,319,000 $117,184,000 $18,126,000
2017 $95,346,000 $107,601,000 $180,626,000 $-73,032,000 $-66,136,000 $32,376,000 $-30,978,000