Recent Annual Filings for TOL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $12,527,018,000 $9,994,937,000 $8,270,182,000 $1,375,363,000 $1,266,430,000 $-1,170,038,000 $-54,209,000
2022 $12,288,714,000 $10,275,558,000 $8,766,932,000 $1,323,009,000 $986,816,000 $-1,119,502,000 $-285,862,000
2021 $11,537,850,000 $8,790,361,000 $7,769,484,000 $841,934,000 $1,303,127,000 $-1,011,083,000 $287,808,000
2020 $11,065,733,000 $7,077,659,000 $6,527,399,000 $445,257,000 $1,008,117,000 $-753,311,000 $76,961,000
2019 $10,828,138,000 $7,223,966,000 $6,543,166,000 $583,482,000 $437,661,000 $-258,514,000 $103,233,000
2018 $10,244,590,000 $7,143,258,000 $6,357,042,000 $751,077,000 $602,401,000 $-214,301,000 $469,366,000
2017 $9,445,225,000 $5,815,058,000 $5,170,122,000 $536,921,000 $959,719,000 $-872,920,000 $79,114,000
2016 $9,736,789,000 $5,169,508,000 $4,679,447,000 $381,268,000 $148,771,000 $-442,260,000 $-285,278,000