Recent Annual Filings for FATBB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,289,178,000 $592,652,000 $644,872,000 $-189,847,000 $-56,246,000 $58,199,000 $-24,514,000
2023 $1,388,238,000 $480,457,000 $458,127,000 $-90,110,000 $-35,608,000 $118,553,000 $23,140,000
2022 $1,213,303,000 $407,224,000 $425,128,000 $-126,188,000 $-47,399,000 $28,738,000 $-31,158,000
2021 $1,270,032,000 $118,881,000 $118,057,000 $-31,583,000 $682,000 $815,228,000 $92,710,000