Recent Annual Filings for TYRA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $363,558,000 $-86,092,000 $-69,774,000 $202,137,000 $33,960,000
2023 $225,857,000 $-68,753,000 $-50,139,000 $1,537,000 $-193,207,000
2022 $266,181,000 $-55,325,000 $-50,285,000 $632,000 $-50,212,000
2021 $306,701,000 $-26,294,000 $-23,745,000 $311,348,000 $286,958,000