Recent Annual Filings for TPL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,156,398,000 $631,595,000 $145,542,000 $404,960,000 $418,288,000 $-144,609,000 $213,367,000
2022 $877,427,000 $667,422,000 $105,115,000 $449,885,000 $447,149,000 $-336,808,000 $88,940,000
2021 $764,064,000 $450,958,000 $88,565,000 $271,666,000 $265,163,000 $-104,948,000 $145,218,000
2019 $598,176,000 $490,496,000 $90,923,000 $318,345,000 $342,790,000 $-50,899,000 $180,199,000
2018 $285,075,000 $300,220,000 $38,470,000 $209,642,000 $191,649,000 $-70,049,000 $40,067,000
2017 $127,460,000 $132,329,000 $12,553,000 $76,517,000 $93,830,000 $-44,948,000 $30,162,000
2016 $62,453,929 $59,911,397 $4,853,547 $37,528,893 $40,957,841 $-35,593,050 $4,405,920
2015 $50,435,545 $79,414,853 $4,159,271 $50,142,395 $49,567,199 $-31,173,533 $18,197,210