Recent Annual Filings for FCF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $11,459,488,000 $529,998,000 $332,443,000 $182,999,000 $150,759,000 $416,263,000 $-7,251,000
2022 $9,805,666,000 $329,953,000 $169,768,000 $-743,000 $151,413,000 $196,247,000 $-241,128,000
2021 $9,545,093,000 $293,838,000 $121,021,000 $112,256,000 $165,046,000 $439,050,000 $38,791,000
2020 $9,068,104,000 $301,209,000 $211,006,000 $85,101,000 $105,699,000 $612,164,000 $234,725,000
2019 $8,308,773,000 $325,264,000 $194,415,000 $122,253,000 $107,632,000 $-207,665,000 $22,909,000
2018 $7,828,255,000 $292,257,000 $159,485,000 $103,674,000 $135,263,000 $204,140,000 $-8,345,000
2017 $7,308,539,000 $250,550,000 $146,824,000 $56,019,000 $88,305,000 $-43,893,000 $-8,385,000
2016 $6,684,018,000 $217,614,000 $132,385,000 $54,949,000 $89,273,000 $-536,822,000 $46,225,000