Recent Annual Filings for TNGX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $316,492,000 $42,069,000 $172,163,000 $-130,152,000 $-131,501,000 $47,664,000 $2,289,000
2023 $402,567,000 $36,527,000 $138,137,000 $-97,853,000 $-117,982,000 $82,406,000 $5,850,000
2022 $436,470,000 $24,860,000 $132,982,000 $-111,116,000 $-109,080,000 $1,615,000 $-81,066,000
2021 $500,155,000 $37,042,000 $94,985,000 $-59,017,000 $-59,527,000 $357,325,000 $114,364,000