Recent Annual Filings for FC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $261,539,000 $287,233,000 $254,187,000 $23,621,000 $60,257,000 $-38,655,000 $10,292,000
2023 $245,919,000 $280,521,000 $254,652,000 $17,336,000 $35,738,000 $-44,179,000 $-21,991,000
2022 $259,155,000 $262,841,000 $240,777,000 $17,179,000 $52,254,000 $-32,670,000 $14,253,000
2021 $249,654,000 $224,168,000 $218,093,000 $13,691,000 $46,177,000 $-11,479,000 $20,280,000
2020 $205,437,000 $198,456,000 $197,660,000 $-9,063,000 $27,563,000 $-16,557,000 $-562,000
2019 $224,913,000 $225,356,000 $224,764,000 $-1,095,000 $30,452,000 $-5,932,000 $17,546,000
2018 $213,875,000 $209,758,000 $215,278,000 $-6,213,000 $16,861,000 $-4,679,000 $1,229,000
2017 $210,731,000 $185,256,000 $196,165,000 $-7,727,000 $17,357,000 $3,134,000 $-1,532,000