Recent Annual Filings for FAST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $4,462,900,000 $7,346,700,000 $5,824,700,000 $1,165,000,000 $1,432,700,000 $-1,281,700,000 $-10,200,000
2022 $4,548,600,000 $6,980,600,000 $5,540,600,000 $1,052,800,000 $941,000,000 $-774,900,000 $3,100,000
2021 $4,299,000,000 $6,010,900,000 $4,803,100,000 $915,500,000 $770,100,000 $-627,100,000 $-9,500,000
2020 $3,964,700,000 $5,647,300,000 $4,514,600,000 $876,300,000 $1,101,800,000 $-754,400,000 $70,800,000
2019 $3,799,900,000 $5,333,700,000 $4,290,000,000 $797,300,000 $842,700,000 $-595,100,000 $7,700,000
2018 $3,321,500,000 $4,965,100,000 $3,978,100,000 $732,200,000 $674,200,000 $-446,500,000 $50,300,000
2017 $2,910,500,000 $4,390,500,000 $3,517,400,000 $600,800,000 $585,200,000 $-407,200,000 $4,200,000
2016 $2,668,884,000 $3,962,036,000 $3,172,307,000 $498,577,000 $513,999,000 $-340,872,000 $-16,284,000