Recent Annual Filings for TTGT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $699,888,000 $229,963,000 $215,544,000 $9,456,000 $72,489,000 $-98,138,000 $-118,670,000
2022 $764,717,000 $297,488,000 $239,934,000 $31,774,000 $90,702,000 $-92,958,000 $-16,706,000
2021 $789,000,000 $263,427,000 $252,348,000 $-364,000 $81,699,000 $254,459,000 $279,174,000
2020 $456,568,000 $148,376,000 $125,872,000 $18,998,000 $52,453,000 $153,366,000 $30,072,000
2019 $221,608,000 $133,957,000 $111,909,000 $16,771,000 $39,449,000 $-10,721,000 $17,881,000
2018 $176,463,000 $121,333,000 $106,490,000 $12,675,000 $23,877,000 $-16,778,000 $8,791,000
2017 $173,169,000 $108,556,000 $98,839,000 $7,116,000 $18,649,000 $-17,386,000 $7,481,000
2016 $170,077,000 $106,625,000 $101,608,000 $2,493,000 $18,163,000 $-10,930,000 $3,702,000