Recent Annual Filings for TRUE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $159,691,000 $175,598,000 $212,778,000 $-31,048,000 $7,701,000 $-24,970,000 $-25,129,000
2023 $204,320,000 $158,706,000 $215,173,000 $-49,766,000 $-22,414,000 $-4,331,000 $-38,554,000
2022 $251,527,000 $161,524,000 $287,219,000 $-118,685,000 $-29,137,000 $-32,534,000 $-69,699,000
2021 $387,670,000 $231,698,000 $265,176,000 $-38,329,000 $14,194,000 $-38,086,000 $-28,097,000
2020 $458,061,000 $278,678,000 $297,194,000 $76,544,000 $39,117,000 $-49,238,000 $91,780,000
2019 $421,687,000 $353,880,000 $410,696,000 $-54,890,000 $20,344,000 $-480,000 $-14,594,000
2018 $420,960,000 $353,571,000 $382,734,000 $-28,321,000 $24,833,000 $16,723,000 $-1,634,000
2017 $384,834,000 $323,149,000 $356,812,000 $-32,849,000 $22,118,000 $87,732,000 $90,041,000