Recent Annual Filings for TSCO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,805,485,000 $14,883,231,000 $13,470,291,000 $1,095,664,000 $1,420,835,000 $-922,497,000 $-145,580,000
2023 $9,188,151,000 $14,555,741,000 $13,123,339,000 $1,102,744,000 $1,334,033,000 $-486,395,000 $194,569,000
2022 $8,489,990,000 $14,204,717,000 $12,800,407,000 $1,098,642,000 $1,356,979,000 $-938,781,000 $-675,528,000
2021 $7,767,467,000 $12,731,105,000 $11,451,017,000 $1,001,702,000 $1,138,720,000 $-975,106,000 $-463,726,000
2020 $7,049,116,000 $10,620,352,000 $9,652,205,000 $745,516,000 $1,394,515,000 $155,210,000 $1,257,515,000
2019 $5,289,268,000 $8,351,931,000 $7,628,554,000 $558,022,000 $811,716,000 $-598,813,000 $-2,058,000
2018 $3,085,262,000 $7,911,046,000 $7,227,661,000 $532,813,000 $694,394,000 $-440,929,000 $-22,849,000
2017 $2,868,769,000 $7,256,382,000 $6,583,859,000 $423,970,000 $631,450,000 $-338,262,000 $55,232,000