Recent Annual Filings for TUSK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $384,031,000 $187,932,000 $316,637,000 $-208,157,000 $180,717,000 $-112,113,000 $58,028,000
2023 $698,479,000 $309,492,000 $300,358,000 $-2,942,000 $31,386,000 $-15,586,000 $7,016,000
2022 $724,678,000 $362,086,000 $349,098,000 $-1,529,000 $15,266,000 $-5,601,000 $7,383,000
2021 $720,892,000 $228,962,000 $353,255,000 $-101,296,000 $-18,865,000 $8,428,000 $-4,923,000
2020 $824,562,000 $313,076,000 $462,393,000 $-107,366,000 $6,967,000 $4,266,000 $8,950,000
2019 $952,385,000 $625,012,000 $753,395,000 $-78,269,000 $-95,318,000 $66,702,000 $-61,753,000
2018 $1,073,091,000 $1,690,084,000 $1,295,633,000 $234,545,000 $386,668,000 $-112,592,000 $61,988,000
2017 $867,243,000 $691,496,000 $628,725,000 $59,519,000 $57,616,000 $91,049,000 $-23,602,000