Recent Annual Filings for TPG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $10,535,109,000 $3,500,082,000 $3,578,323,000 $-76,915,000 $532,146,000 $-344,860,000 $142,821,000
2023 $9,369,672,000 $2,389,911,000 $2,363,803,000 $23,385,000 $720,518,000 $-789,234,000 $-442,279,000
2022 $7,941,738,000 $2,002,887,000 $1,944,799,000 $-56,235,000 $1,375,878,000 $-1,238,080,000 $134,786,000