Recent Annual Filings for TROX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $6,134,000,000 $2,850,000,000 $2,801,000,000 $-356,000,000 $184,000,000 $176,000,000 $109,000,000
2022 $6,306,000,000 $3,454,000,000 $3,146,000,000 $473,000,000 $598,000,000 $-250,000,000 $-68,000,000
2021 $5,987,000,000 $3,572,000,000 $3,198,000,000 $199,000,000 $740,000,000 $-877,000,000 $-416,000,000
2020 $6,568,000,000 $2,758,000,000 $2,644,000,000 $975,000,000 $355,000,000 $214,000,000 $337,000,000
2019 $5,268,000,000 $2,642,000,000 $2,730,000,000 $-86,000,000 $441,000,000 $-638,000,000 $-1,385,000,000
2018 $4,642,000,000 $1,819,000,000 $1,776,000,000 $-151,000,000 $170,000,000 $-46,000,000 $-73,000,000
2017 $4,864,000,000 $1,698,000,000 $1,785,000,000 $-149,000,000 $273,000,000 $24,000,000 $868,000,000
2016 $4,950,000,000 $2,093,000,000 $2,266,000,000 $74,000,000 $211,000,000 $-77,000,000 $19,000,000