Recent Annual Filings for TPIC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $692,464,000 $1,331,131,000 $1,528,701,000 $12,498,000 $50,964,000 $37,261,000
2023 $804,080,000 $1,455,183,000 $1,634,074,000 $-80,972,000 $121,994,000 $17,721,000
2022 $962,176,000 $1,522,741,000 $1,548,678,000 $-62,272,000 $-14,597,000 $-95,701,000
2021 $1,007,701,000 $1,732,583,000 $1,865,371,000 $-186,604,000 $-25,525,000 $198,919,000 $136,275,000
2020 $956,257,000 $1,670,137,000 $1,677,880,000 $-28,405,000 $37,570,000 $88,612,000 $60,516,000
2019 $826,677,000 $1,436,500,000 $1,429,093,000 $-24,928,000 $57,084,000 $970,000 $-17,456,000
2018 $604,855,000 $1,029,624,000 $1,027,378,000 $-8,555,000 $-3,258,000 $-7,732,000 $-63,678,000
2017 $573,534,000 $930,281,000 $873,511,000 $46,994,000 $82,663,000 $-9,973,000 $29,047,000