Recent Annual Filings for FCFS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,476,986,000 $3,388,514,000 $3,045,738,000 $172,256,000 $539,958,000 $-38,193,000 $48,077,000
2023 $4,289,915,000 $3,151,796,000 $2,858,947,000 $282,837,000 $416,142,000 $51,313,000 $9,688,000
2022 $3,904,867,000 $2,728,942,000 $2,405,309,000 $278,221,000 $469,305,000 $-139,273,000 $-2,716,000
2021 $3,836,452,000 $1,698,965,000 $1,532,463,000 $112,042,000 $223,304,000 $576,993,000 $54,196,000
2020 $2,372,197,000 $1,631,284,000 $1,487,585,000 $85,116,000 $222,264,000 $-186,502,000 $19,323,000
2019 $2,439,440,000 $1,864,439,000 $1,639,828,000 $180,766,000 $231,596,000 $-120,806,000 $-25,266,000
2018 $2,107,974,000 $1,780,858,000 $1,575,549,000 $151,966,000 $243,429,000 $-127,061,000 $-42,630,000
2017 $2,062,784,000 $1,779,822,000 $1,607,510,000 $151,821,000 $220,357,000 $-197,506,000 $24,468,000