Recent Annual Filings for FCPT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,653,026,000 $268,073,000 $118,902,000 $102,253,000 $144,105,000 $108,109,000 $-20,702,000
2023 $2,451,634,000 $250,606,000 $113,668,000 $86,484,000 $165,105,000 $146,175,000 $-1,513,000
2022 $2,198,587,000 $223,194,000 $97,325,000 $138,734,000 $142,000,000 $148,896,000 $19,996,000
2021 $1,902,980,000 $199,378,000 $82,079,000 $101,647,000 $122,416,000 $137,737,000 $-4,764,000
2020 $1,668,179,000 $170,944,000 $64,069,000 $55,327,000 $91,458,000 $143,596,000 $5,981,000
2019 $1,446,070,000 $160,233,000 $61,457,000 $63,399,000 $104,673,000 $14,521,000 $-88,159,000
2018 $1,343,098,000 $143,635,000 $60,444,000 $83,951,000 $80,882,000 $190,034,000 $23,870,000
2017 $1,068,659,000 $133,209,000 $61,335,000 $76,189,000 $78,945,000 $44,197,000 $37,823,000