Earnings
TRMB
66.15
+3.39%
2.17
Currencies: USD
Items
Cash from Operating Activities
Net Income
Depreciation/Depletion & Amortization
Deferred Taxes
Non-Cash Items
Changes in Working Capital
Cash from Investing Activities
Capital Expenditures
Other Investing Cash Flow Items, Total
Cash from Financing Activities
Financing Cash Flow Items
Total Cash Dividends Paid
Issuance (Retirement) of Stock, Net
Issuance (Retirement) of Debt, Net
Foreign Exchange Effects
Net Change in Cash
Cash Interest Paid
Cash Taxes Paid
FY 2024
531.40M
1.50B
232.00M
27.00M
-1.44B
203.40M
1.86B
-33.60M
1.89B
-1.86B
-4.50M
--
-181.50M
-1.68B
-19.40M
508.90M
140.40M
228.10M
FY 2023
597.10M
311.30M
250.60M
-104.60M
147.80M
-8.00M
-2.07B
-42.00M
-2.03B
1.43B
-29.40M
--
-93.30M
1.55B
7.40M
-32.10M
133.70M
168.00M
FY 2022
391.20M
449.70M
171.80M
-40.00M
63.10M
-253.40M
-226.30M
-43.20M
-183.10M
-199.00M
-15.30M
--
-408.30M
224.60M
-20.60M
-54.70M
--
--
FY 2022
391.20M
449.70M
171.80M
-40.00M
63.10M
-253.40M
-226.30M
-43.20M
-183.10M
-199.00M
-15.30M
--
-408.30M
224.60M
-20.60M
-54.70M
73.10M
197.30M
FY 2021
750.50M
492.80M
179.90M
-26.90M
97.90M
6.80M
-203.50M
-46.10M
-157.40M
-447.70M
-1.60M
--
-195.10M
-251.00M
-11.30M
88.00M
61.80M
98.30M

FY: Financial Year. It represents annual report.

Q: Quarter Report. Q1、Q2、Q3、Q4 represent three-month periodic financial reports.