Recent Annual Filings for TRMB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,488,300,000 $3,683,300,000 $1,677,400,000 $1,274,600,000 $531,400,000 $-1,864,200,000 $508,900,000
2023 $9,539,300,000 $3,798,700,000 $3,441,700,000 $394,100,000 $597,100,000 $1,431,500,000 $-32,100,000
2022 $7,269,000,000 $3,676,300,000 $3,107,200,000 $376,500,000 $391,200,000 $-199,000,000 $-54,700,000
2021 $7,099,600,000 $3,659,400,000 $3,084,800,000 $429,600,000 $750,500,000 $-447,700,000 $88,000,000
2019 $6,640,700,000 $3,264,300,000 $2,919,500,000 $523,800,000 $585,000,000 $-292,600,000 $16,700,000
2018 $5,776,400,000 $3,108,400,000 $2,830,400,000 $228,600,000 $486,700,000 $989,400,000 $-186,000,000
2017 $4,298,200,000 $2,654,200,000 $2,395,100,000 $209,900,000 $411,900,000 $79,100,000 $142,400,000
2016 $3,673,800,000 $2,362,200,000 $2,185,500,000 $79,100,000 $407,100,000 $-155,800,000 $100,100,000