Recent Annual Filings for FDBC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,584,616,000 $107,022,000 $83,150,000 $21,687,000 $29,563,000 $55,429,000 $-28,596,000
2023 $2,503,159,000 $93,835,000 $73,579,000 $32,895,000 $29,692,000 $88,441,000 $82,858,000
2022 $2,378,372,000 $78,672,000 $43,204,000 $-41,310,000 $49,427,000 $-1,825,000 $-67,786,000
2021 $2,419,104,000 $65,468,000 $37,459,000 $15,235,000 $7,199,000 $323,575,000 $27,531,000
2020 $1,699,510,000 $49,496,000 $34,212,000 $18,385,000 $296,000 $217,630,000 $53,683,000
2019 $1,009,927,000 $39,269,000 $25,367,000 $16,273,000 $25,786,000 $6,388,000 $-1,822,000
2018 $981,102,000 $35,330,000 $22,195,000 $8,528,000 $13,650,000 $105,129,000 $1,660,000
2017 $863,637,000 $31,064,000 $21,142,000 $8,842,000 $13,887,000 $45,937,000 $-10,018,000