Recent Annual Filings for FBRT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,002,386,000 $210,454,000 $86,444,000 $93,185,000 $57,233,000 $-48,581,000 $-146,823,000
2023 $5,955,180,000 $263,950,000 $87,822,000 $143,416,000 $197,387,000 $-424,994,000 $153,200,000
2022 $6,203,601,000 $201,652,000 $77,510,000 $14,667,000 $152,515,000 $-3,227,492,000 $22,288,000
2021 $9,474,701,000 $160,814,000 $149,371,000 $33,896,000 $146,497,000 $-1,139,186,000 $76,058,000