Recent Annual Filings for FET

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $821,061,000 $738,864,000 $746,678,000 $-6,627,000 $8,183,000 $-7,582,000 $-4,864,000
2022 $834,757,000 $699,913,000 $689,564,000 $-22,745,000 $-17,054,000 $-5,076,000 $4,171,000
2021 $791,336,000 $541,068,000 $623,077,000 $-83,290,000 $-15,775,000 $-76,243,000 $-81,759,000
2020 $889,926,000 $512,476,000 $622,246,000 $-88,340,000 $3,883,000 $-41,765,000 $70,706,000
2019 $1,159,997,000 $956,533,000 $1,525,404,000 $-560,765,000 $104,144,000 $-122,191,000 $10,670,000
2018 $1,829,652,000 $1,064,219,000 $1,453,973,000 $-397,343,000 $2,407,000 $6,522,000 $-67,975,000
2017 $2,195,228,000 $818,620,000 $873,899,000 $-23,130,000 $-40,033,000 $100,563,000 $-119,206,000
2016 $1,835,192,000 $587,635,000 $725,634,000 $-128,005,000 $64,742,000 $86,195,000 $125,173,000