Recent Annual Filings for TWIN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $312,058,000 $295,127,000 $279,760,000 $9,835,000 $33,716,000 $2,754,000 $4,401,000
2023 $289,181,000 $276,960,000 $262,495,000 $12,032,000 $22,898,000 $-19,511,000 $2,979,000
2022 $276,523,000 $242,913,000 $232,684,000 $-1,200,000 $-8,312,000 $4,054,000 $1,643,000
2021 $275,413,000 $218,581,000 $228,420,000 $-11,007,000 $6,528,000 $-4,317,000 $-531,000
2020 $294,127,000 $246,838,000 $290,578,000 $-42,807,000 $9,118,000 $-1,055,000 $-2,056,000
2019 $346,870,000 $302,663,000 $288,156,000 $3,495,000 $-5,461,000 $69,160,000 $-2,809,000
2018 $234,713,000 $240,733,000 $226,313,000 $18,552,000 $6,511,000 $-2,066,000 $-1,196,000
2017 $210,898,000 $168,182,000 $177,711,000 $5,370,000 $3,178,000 $-2,442,000 $-1,906,000