Recent Annual Filings for FCAP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,187,523,000 $7,059,000 $4,804,000 $12,996,000 $22,345,000 $15,896,000 $67,247,000
2023 $1,157,880,000 $7,009,000 $4,037,000 $24,511,000 $14,163,000 $-17,844,000 $-27,628,000
2022 $1,151,400,000 $7,145,000 $3,804,000 $-25,560,000 $16,531,000 $21,288,000 $-106,211,000
2021 $1,156,603,000 $6,446,000 $4,199,000 $6,349,000 $21,631,000 $131,454,000 $-3,379,000
2020 $1,017,551,000 $5,761,000 $3,990,000 $14,824,000 $12,060,000 $174,882,000 $124,528,000
2019 $827,496,000 $5,528,000 $-6,797,000 $15,957,000 $14,077,000 $17,278,000 $10,248,000
2018 $794,162,000 $5,255,000 $-5,405,000 $7,849,000 $13,348,000 $23,949,000 $15,197,000
2017 $758,956,000 $26,422,000 $15,867,000 $8,021,000 $13,419,000 $7,011,000 $-19,994,000