Recent Annual Filings for FENC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $44,946,000 $47,538,000 $47,609,000 $-436,000 $26,980,000 $-13,615,000
2023 $26,864,000 $21,252,000 $37,297,000 $-16,045,000 $-17,143,000 $6,638,000
2022 $26,939,000 $1,449,000 $24,038,000 $-23,714,000 $-18,058,000 $20,732,000
2021 $22,414,000 $-17,346,000 $-14,222,000 $4,978,000
2020 $31,417,000 $170,000 $18,055,000 $-18,109,000 $-15,595,000 $32,289,000
2019 $14,146,000 $-12,775,000 $-9,060,000 $-71,000
2018 $22,950,000 $-9,888,000 $-7,826,000 $2,347,000 $-5,479,000
2017 $28,401,000 $-7,046,000 $-3,641,000 $27,975,000 $24,334,000