Recent Annual Filings for TRDA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $469,192,000 $129,013,000 $132,175,000 $-4,433,000 $139,803,000 $21,037,000 $22,445,000
2022 $252,056,000 $-96,673,000 $-93,786,000 $479,000 $-241,957,000
2021 $305,833,000 $-51,158,000 $-50,862,000 $307,461,000 $252,019,000