Recent Annual Filings for TTEK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,192,676,000 $5,198,679,000 $4,735,213,000 $449,863,000 $358,708,000 $-191,380,000 $63,858,000
2023 $3,820,477,000 $4,522,550,000 $4,121,572,000 $286,300,000 $368,463,000 $382,380,000 $-16,263,000
2022 $2,622,776,000 $3,504,048,000 $3,155,282,000 $180,037,000 $336,188,000 $-249,608,000 $18,526,000
2021 $2,576,562,000 $3,213,513,000 $2,946,643,000 $269,592,000 $304,372,000 $-210,099,000 $9,053,000
2020 $2,378,558,000 $2,994,891,000 $2,766,900,000 $172,687,000 $262,479,000 $-163,049,000 $36,614,000
2019 $2,147,408,000 $3,107,348,000 $2,932,212,000 $125,770,000 $208,513,000 $-135,063,000 $-27,983,000
2018 $1,959,421,000 $2,964,148,000 $2,789,586,000 $108,043,000 $176,862,000 $-173,087,000 $-43,790,000
2017 $1,902,745,000 $2,753,360,000 $2,581,599,000 $147,433,000 $137,992,000 $-94,772,000 $29,516,000