Recent Annual Filings for FBIO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $144,223,000 $57,675,000 $168,054,000 $-120,855,000 $-80,191,000 $70,641,000 $-24,550,000
2023 $167,526,000 $84,513,000 $226,855,000 $-154,154,000 $-128,225,000 $32,739,000 $-97,589,000
2022 $294,301,000 $75,743,000 $279,307,000 $-213,913,000 $-179,401,000 $75,319,000 $-127,010,000
2021 $396,503,000 $68,791,000 $257,332,000 $-164,826,000 $-116,540,000 $148,994,000 $72,968,000
2020 $328,834,000 $45,599,000 $139,869,000 $-102,985,000 $-83,682,000 $172,410,000 $81,564,000
2019 $226,422,000 $36,629,000 $147,448,000 $-101,660,000 $-94,961,000 $146,714,000 $71,850,000
2018 $140,993,000 $26,882,000 $157,682,000 $-141,936,000 $-98,848,000 $50,648,000 $-29,376,000
2017 $245,950,000 $187,584,000 $285,907,000 $-99,836,000 $-85,430,000 $154,207,000 $27,148,000