Recent Annual Filings for TPH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $4,914,588,000 $3,715,204,000 $3,247,845,000 $349,195,000 $195,261,000 $-189,554,000 $-20,711,000
2022 $4,719,940,000 $4,348,533,000 $3,575,321,000 $582,409,000 $444,276,000 $-178,017,000 $208,136,000
2021 $4,336,223,000 $3,982,235,000 $3,356,573,000 $469,267,000 $419,533,000 $-287,169,000 $60,233,000
2020 $4,021,980,000 $3,260,447,000 $2,887,070,000 $282,207,000 $587,989,000 $-207,665,000 $292,284,000
2019 $3,858,690,000 $3,083,015,000 $2,811,928,000 $207,187,000 $315,980,000 $-227,407,000 $51,315,000
2018 $3,884,203,000 $3,262,747,000 $2,900,682,000 $271,513,000 $310,662,000 $-220,468,000 $-5,218,000
2017 $3,805,381,000 $2,810,272,000 $2,470,454,000 $187,551,000 $101,674,000 $-23,838,000 $74,257,000
2016 $3,564,640,000 $2,405,142,000 $2,102,915,000 $196,133,000 $-158,310,000 $156,490,000 $-5,828,000