Recent Annual Filings for TRN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,832,200,000 $3,079,200,000 $2,857,400,000 $142,300,000 $573,800,000 $-219,900,000 $139,300,000
2023 $8,906,500,000 $2,983,300,000 $2,834,300,000 $110,900,000 $295,600,000 $8,200,000 $-59,200,000
2022 $8,724,300,000 $1,977,300,000 $1,850,800,000 $109,300,000 $-12,800,000 $265,400,000 $-8,100,000
2021 $8,235,900,000 $1,516,000,000 $1,460,800,000 $196,900,000 $611,800,000 $-814,100,000 $74,000,000
2020 $8,701,800,000 $1,999,400,000 $2,493,900,000 $-102,800,000 $651,700,000 $-168,000,000 $-49,200,000
2019 $8,701,400,000 $3,005,100,000 $2,588,800,000 $101,100,000 $393,600,000 $526,500,000 $-73,200,000
2018 $7,989,200,000 $2,509,100,000 $2,194,000,000 $149,900,000 $379,100,000 $-511,600,000 $-623,000,000
2017 $9,543,200,000 $3,662,800,000 $3,113,700,000 $724,900,000 $761,600,000 $-73,700,000 $215,200,000