Recent Annual Filings for FELE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,820,606,000 $2,021,341,000 $1,789,494,000 $148,566,000 $261,353,000 $-74,069,000 $135,577,000
2023 $1,728,122,000 $2,065,133,000 $1,822,910,000 $205,102,000 $315,710,000 $-192,193,000 $39,173,000
2022 $1,694,201,000 $2,043,711,000 $1,808,484,000 $185,843,000 $101,674,000 $-48,472,000 $5,254,000
2021 $1,575,165,000 $1,661,865,000 $1,472,159,000 $131,031,000 $129,763,000 $50,893,000 $-90,251,000
2020 $1,272,307,000 $1,247,331,000 $1,123,634,000 $86,712,000 $211,854,000 $-66,580,000 $66,382,000
2019 $1,194,743,000 $1,314,578,000 $1,197,743,000 $88,836,000 $177,676,000 $-126,648,000 $5,232,000
2018 $1,182,365,000 $1,298,129,000 $1,177,722,000 $71,573,000 $128,435,000 $-66,786,000 $-8,060,000
2017 $1,185,353,000 $1,124,909,000 $1,020,322,000 $98,734,000 $66,754,000 $-22,578,000 $-37,098,000