Recent Annual Filings for TYL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,180,015,000 $2,137,803,000 $1,829,636,000 $263,195,000 $624,633,000 $22,207,000 $579,228,000
2023 $4,676,663,000 $1,951,751,000 $1,753,515,000 $166,437,000 $380,440,000 $-311,844,000 $-8,364,000
2022 $4,687,417,000 $1,850,204,000 $1,662,611,000 $163,442,000 $381,455,000 $-344,239,000 $-135,314,000
2021 $4,732,161,000 $1,592,287,000 $1,433,306,000 $161,458,000 $371,753,000 $1,424,730,000 $-294,452,000
2020 $2,607,274,000 $1,116,663,000 $941,621,000 $194,820,000 $355,089,000 $114,172,000 $370,941,000
2019 $2,191,614,000 $1,086,427,000 $926,589,000 $146,527,000 $254,720,000 $88,698,000 $98,403,000
2018 $1,790,963,000 $935,282,000 $779,412,000 $147,462,000 $250,203,000 $-63,595,000 $-51,647,000
2017 $1,589,592,000 $840,662,000 $679,034,000 $163,945,000 $195,755,000 $39,415,000 $149,775,000