Recent Annual Filings for FF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $247,691,000 $243,339,000 $227,044,000 $15,503,000 $24,802,000 $-119,911,000 $-109,903,000
2023 $367,081,000 $368,250,000 $330,867,000 $37,383,000 $23,985,000 $-10,517,000 $43,804,000
2022 $355,969,000 $396,014,000 $382,276,000 $15,032,000 $52,451,000 $-10,503,000 $38,119,000
2021 $344,330,000 $321,386,000 $305,456,000 $26,225,000 $44,084,000 $-119,678,000 $-60,601,000
2020 $441,304,000 $204,505,000 $172,727,000 $46,476,000 $96,403,000 $-142,086,000 $-45,209,000
2019 $586,505,000 $205,226,000 $125,431,000 $88,497,000 $34,638,000 $-10,498,000 $28,359,000
2018 $471,155,000 $291,018,000 $230,841,000 $52,978,000 $85,613,000 $-10,674,000 $100,345,000
2017 $425,563,000 $275,026,000 $258,377,000 $28,404,000 $39,347,000 $-110,809,000 $-84,645,000