Recent Annual Filings for TTMI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,323,663,000 $2,232,567,000 $2,232,270,000 $-22,995,000 $187,284,000 $-47,673,000 $47,581,000
2023 $3,323,604,000 $2,495,046,000 $2,312,183,000 $97,048,000 $272,873,000 $-11,311,000 $-133,896,000
2021 $3,025,547,000 $2,248,740,000 $2,178,687,000 $66,072,000 $176,632,000 $-7,232,000 $85,257,000
2020 $2,895,944,000 $2,105,322,000 $2,151,599,000 $148,708,000 $287,176,000 $-642,306,000 $49,162,000
2019 $3,560,933,000 $2,689,308,000 $2,643,124,000 $35,135,000 $311,937,000 $-31,813,000 $144,152,000
2018 $3,457,503,000 $2,847,261,000 $2,757,493,000 $166,261,000 $273,138,000 $321,056,000 $-152,966,000
2016 $2,500,076,000 $2,533,359,000 $2,466,357,000 $-10,377,000 $298,336,000 $-217,109,000 $-2,823,000
2015 $2,671,304,000 $2,095,488,000 $2,086,512,000 $-55,010,000 $237,462,000 $-5,756,000 $-19,942,000