Recent Annual Filings for F

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $273,310,000,000 $176,191,000,000 $170,733,000,000 $4,627,000,000 $14,918,000,000 $2,584,000,000 $-230,000,000
2022 $255,884,000,000 $158,057,000,000 $151,781,000,000 $-3,156,000,000 $6,853,000,000 $2,511,000,000 $4,603,000,000
2021 $257,035,000,000 $136,341,000,000 $131,818,000,000 $17,869,000,000 $15,787,000,000 $-23,498,000,000 $-5,198,000,000
2020 $267,261,000,000 $127,144,000,000 $131,552,000,000 $-1,843,000,000 $24,269,000,000 $2,315,000,000 $8,194,000,000
2019 $258,537,000,000 $155,900,000,000 $155,326,000,000 $-278,000,000 $17,639,000,000 $-3,129,000,000 $834,000,000
2018 $256,540,000,000 $160,338,000,000 $157,135,000,000 $3,288,000,000 $15,022,000,000 $-122,000,000 $-1,731,000,000
2017 $257,808,000,000 $156,776,000,000 $151,963,000,000 $7,680,000,000 $18,096,000,000 $3,394,000,000 $3,076,000,000
2016 $237,951,000,000 $151,800,000,000 $147,684,000,000 $3,850,000,000 $19,792,000,000 $7,458,000,000 $1,368,000,000