Recent Annual Filings for FCN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,596,830,000 $3,698,652,000 $3,351,290,000 $253,976,000 $395,097,000 $-15,383,000 $357,271,000
2023 $3,325,878,000 $3,489,242,000 $3,111,681,000 $301,154,000 $224,461,000 $-354,663,000 $-188,466,000
2022 $3,241,407,000 $3,028,908,000 $2,725,030,000 $187,632,000 $188,794,000 $-106,012,000 $-2,797,000
2021 $3,100,909,000 $2,776,222,000 $2,464,174,000 $212,561,000 $355,483,000 $-61,674,000 $199,532,000
2020 $2,777,363,000 $2,461,275,000 $2,178,612,000 $245,094,000 $327,069,000 $-360,053,000 $-74,420,000
2019 $2,783,142,000 $2,352,717,000 $2,047,122,000 $223,696,000 $217,886,000 $-103,311,000 $57,304,000
2018 $2,379,121,000 $2,027,877,000 $1,801,872,000 $123,009,000 $230,672,000 $-117,519,000 $122,108,000
2017 $2,257,241,000 $1,807,732,000 $1,699,021,000 $138,626,000 $147,625,000 $-140,934,000 $-26,197,000