Recent Annual Filings for TRUP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $782,948,000 $1,108,605,000 $1,153,640,000 $-37,989,000 $18,638,000 $59,126,000 $85,827,000
2022 $671,627,000 $905,179,000 $949,375,000 $-54,050,000 $-8,000,000 $60,743,000 $-16,232,000
2021 $562,582,000 $698,991,000 $734,211,000 $-35,524,000 $7,458,000 $-1,125,000 $-45,328,000
2020 $498,250,000 $502,028,000 $507,755,000 $-3,019,000 $21,544,000 $170,848,000 $115,629,000
2019 $257,200,000 $383,936,000 $385,576,000 $-806,000 $16,157,000 $14,044,000 $2,616,000
2018 $207,510,000 $303,956,000 $304,890,000 $-1,588,000 $12,680,000 $71,229,000 $1,646,000
2017 $105,859,000 $242,667,000 $244,598,000 $-1,218,000 $9,666,000 $5,081,000 $2,069,000
2016 $82,345,000 $188,230,000 $195,088,000 $-6,771,000 $5,006,000 $7,672,000 $6,281,000