Recent Annual Filings for TW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,267,993,000 $1,725,949,000 $1,047,921,000 $564,875,000 $897,741,000 $-290,261,000 $-361,710,000
2023 $7,059,538,000 $1,338,219,000 $832,950,000 $424,922,000 $746,089,000 $-168,174,000 $445,150,000
2022 $6,260,131,000 $1,188,781,000 $776,208,000 $346,371,000 $632,822,000 $-276,703,000 $296,023,000
2021 $5,990,180,000 $1,076,447,000 $717,619,000 $269,889,000 $578,021,000 $-136,100,000 $182,811,000
2020 $5,679,850,000 $892,659,000 $629,304,000 $221,596,000 $443,234,000 $-52,693,000 $328,005,000
2019 $5,095,334,000 $775,566,000 $585,747,000 $132,411,000 $311,003,000 $-218,142,000 $48,399,000