Tutor Perini Cash Flow from Operating Activities 2012-2026 | TPC

Tutor Perini cash flow from operating activities from 2012 to 2026. Cash flow from operating activities can be defined as a company's cash flows from operations.
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Tutor Perini Annual Cash Flow Ops
(Millions of US $)
2025 $748
2024 $504
2023 $308
2022 $207
2021 $-148
2020 $173
2019 $137
2018 $21
2017 $164
2016 $113
2015 $14
2014 $-57
2013 $51
2012 $-68
2011 $-32
Sector Industry Market Cap Revenue
Construction Building - Heavy Construction $4.385B $5.543B
Tutor Perini Corporation provides diversified general contracting, construction management and design-build services to private clients and public agencies worldwide. The company operates in four segments: Civil, Building, Specialty Contractors, and Management Services. The Civil segment engages in public works construction activities and the repair, replacement, and reconstruction of infrastructure. The Building segment offers services in specialized building markets, including hospitality and gaming, transportation, healthcare, municipal offices, sports and entertainment, education, correctional facilities, biotech, pharmaceutical, industrial, and high technology. The Specialty Contractors segment provides plumbing, HVAC, electrical, mechanical, and concrete services for the industrial, commercial, hospitality and gaming, and transportation markets. The Management Services segment offers construction and design-build services to the U.S. military and government agencies, and multi-national corporations.
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