Recent Annual Filings for FCCO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,958,021,000 $952,000 $-16,818,000 $16,687,000 $10,871,000 $111,895,000 $55,133,000
2023 $1,827,688,000 $963,000 $-14,077,000 $16,038,000 $12,226,000 $134,736,000 $57,294,000
2022 $1,672,946,000 $960,000 $-17,451,000 $-21,052,000 $22,125,000 $109,033,000 $-31,621,000
2021 $1,584,508,000 $977,000 $-18,670,000 $7,457,000 $57,928,000 $182,384,000 $4,030,000
2020 $1,395,382,000 $1,121,000 $-11,474,000 $18,896,000 $-17,046,000 $205,867,000 $17,300,000
2019 $1,170,279,000 $1,649,000 $-12,180,000 $15,795,000 $4,991,000 $59,629,000 $15,424,000
2018 $1,091,595,000 $1,769,000 $-12,154,000 $9,339,000 $20,157,000 $29,314,000 $1,677,000
2017 $1,050,731,000 $32,156,000 $23,011,000 $6,608,000 $18,351,000 $-18,756,000 $8,592,000