Recent Annual Filings for TRGP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $22,734,100,000 $16,381,500,000 $14,443,500,000 $1,495,400,000 $3,649,700,000 $-612,800,000 $15,600,000
2023 $20,671,800,000 $16,060,300,000 $14,117,800,000 $1,610,200,000 $3,211,600,000 $-888,100,000 $-77,300,000
2022 $19,560,000,000 $20,929,800,000 $19,266,600,000 $1,817,000,000 $2,380,800,000 $1,829,400,000 $60,500,000
2021 $15,208,200,000 $16,949,800,000 $16,512,900,000 $333,000,000 $2,302,900,000 $-1,914,000,000 $-84,300,000
2020 $15,875,700,000 $8,260,300,000 $9,833,400,000 $-1,559,300,000 $1,744,500,000 $-1,094,700,000 $-88,300,000
2019 $18,815,100,000 $8,671,100,000 $8,717,800,000 $39,400,000 $1,389,800,000 $1,781,100,000 $99,000,000
2018 $16,938,200,000 $9,350,900,000 $9,285,000,000 $189,800,000 $1,144,000,000 $2,097,800,000 $94,900,000
2017 $14,388,600,000 $7,751,100,000 $8,044,000,000 $112,600,000 $939,500,000 $1,016,900,000 $63,700,000