Recent Annual Filings for TPB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $493,353,000 $360,660,000 $295,704,000 $40,173,000 $67,062,000 $-128,284,000 $-71,731,000
2023 $569,356,000 $405,393,000 $343,711,000 $37,502,000 $66,881,000 $-49,505,000 $11,470,000
2022 $572,106,000 $415,013,000 $399,007,000 $8,866,000 $30,273,000 $-43,303,000 $-31,823,000
2021 $601,560,000 $445,471,000 $380,169,000 $53,884,000 $68,217,000 $57,067,000 $66,445,000
2020 $489,333,000 $405,111,000 $362,055,000 $34,179,000 $43,678,000 $-29,340,000 $-50,485,000
2019 $446,584,000 $361,989,000 $346,171,000 $12,537,000 $37,795,000 $67,966,000 $121,662,000
2018 $339,377,000 $332,683,000 $301,109,000 $25,702,000 $13,090,000 $9,930,000 $-1,649,000
2017 $282,277,000 $285,777,000 $258,844,000 $21,285,000 $29,690,000 $-28,016,000 $-258,000