Recent Annual Filings for TTD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,111,951,000 $2,444,831,000 $2,017,664,000 $393,076,000 $739,456,000 $-107,609,000 $474,334,000
2023 $4,888,687,000 $1,946,120,000 $1,745,640,000 $178,940,000 $598,322,000 $-626,106,000 $-135,377,000
2022 $4,380,679,000 $1,577,795,000 $1,464,141,000 $53,385,000 $548,734,000 $31,992,000 $276,352,000
2021 $3,577,340,000 $1,196,467,000 $1,071,650,000 $137,762,000 $378,513,000 $31,926,000 $316,801,000
2020 $2,753,645,000 $836,033,000 $691,825,000 $242,317,000 $405,069,000 $44,679,000 $306,477,000
2019 $1,728,761,000 $661,058,000 $548,862,000 $108,318,000 $60,205,000 $27,280,000 $-76,356,000
2018 $1,117,872,000 $477,294,000 $369,971,000 $88,140,000 $86,603,000 $-10,130,000 $51,282,000
2017 $797,164,000 $308,217,000 $238,861,000 $50,798,000 $31,224,000 $7,390,000 $22,550,000