Recent Annual Filings for FEIM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $83,253,000 $55,274,000 $49,810,000 $5,594,000 $8,708,000 $-7,216,000
2023 $74,496,000 $40,777,000 $46,204,000 $-5,061,000 $1,175,000 $-9,354,000 $488,000
2022 $85,880,000 $48,296,000 $56,958,000 $-9,394,000 $4,036,000 $-1,754,000
2021 $86,016,000 $54,254,000 $53,778,000 $481,000 $12,157,000 $-4,965,000 $5,999,000
2020 $91,276,000 $41,507,000 $53,275,000 $-9,582,000 $-1,407,000 $4,965,000 $125,000
2019 $86,771,000 $49,509,000 $51,982,000 $-1,568,000 $-97,000 $606,000 $-4,151,000
2018 $83,584,000 $39,407,000 $50,682,000 $-26,973,000 $4,533,000 $257,000 $5,131,000
2017 $113,319,000 $50,351,000 $57,390,000 $-4,504,000 $3,888,000 $-6,671,000 $-3,344,000