Recent Annual Filings for TRNO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,770,156,000 $382,621,000 $234,665,000 $184,497,000 $232,687,000 $534,906,000 $-147,884,000
2023 $3,904,677,000 $323,590,000 $190,457,000 $151,457,000 $179,677,000 $528,864,000 $138,153,000
2022 $3,164,441,000 $276,212,000 $167,323,000 $198,014,000 $143,210,000 $17,734,000 $-176,718,000
2021 $2,924,215,000 $221,930,000 $134,071,000 $87,437,000 $132,208,000 $631,195,000 $96,965,000
2020 $2,139,820,000 $186,884,000 $118,731,000 $80,049,000 $101,050,000 $-53,865,000 $-4,903,000
2019 $2,108,464,000 $171,022,000 $112,185,000 $55,840,000 $94,688,000 $235,054,000 $78,260,000
2018 $1,796,504,000 $151,657,000 $102,431,000 $63,574,000 $77,599,000 $149,037,000 $-8,321,000
2017 $1,567,871,000 $132,484,000 $93,435,000 $52,947,000 $69,498,000 $203,942,000 $24,322,000