Recent Annual Filings for TRST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,238,744,000 $243,316,000 $179,270,000 $58,209,000 $59,442,000 $8,116,000 $63,808,000
2023 $6,168,191,000 $226,206,000 $148,593,000 $72,603,000 $64,129,000 $96,869,000 $-72,595,000
2022 $6,000,052,000 $186,602,000 $87,185,000 $35,893,000 $78,626,000 $-230,871,000 $-568,871,000
2021 $6,196,546,000 $167,982,000 $85,849,000 $61,730,000 $55,365,000 $232,262,000 $112,371,000
2020 $5,901,796,000 $178,288,000 $108,842,000 $59,927,000 $62,157,000 $623,442,000 $650,253,000
2019 $5,221,322,000 $192,128,000 $115,619,000 $72,610,000 $63,798,000 $138,098,000 $-46,863,000
2018 $4,958,913,000 $180,914,000 $101,260,000 $54,288,000 $67,640,000 $-2,851,000 $-109,031,000
2017 $4,908,008,000 $168,960,000 $92,213,000 $47,590,000 $61,690,000 $-11,340,000 $-94,534,000