Recent Annual Filings for FFIC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,038,972,000 $6,947,000 $55,214,000 $14,451,000 $12,412,000 $473,609,000 $-19,583,000
2023 $8,537,236,000 $8,651,000 $-31,182,000 $26,501,000 $34,585,000 $80,079,000 $20,403,000
2022 $8,422,946,000 $5,122,000 $-99,730,000 $47,141,000 $85,755,000 $336,094,000 $70,031,000
2021 $8,045,911,000 $5,965,000 $-103,313,000 $91,375,000 $88,598,000 $-57,480,000 $-75,665,000
2020 $7,976,394,000 $4,500,000 $-40,682,000 $28,215,000 $71,278,000 $-56,775,000 $107,601,000
2019 $7,017,776,000 $3,723,000 $-49,608,000 $44,224,000 $63,770,000 $62,225,000 $-68,774,000
2018 $6,834,176,000 $4,030,000 $-61,455,000 $52,618,000 $77,303,000 $467,707,000 $67,015,000
2017 $6,299,274,000 $234,585,000 $168,451,000 $40,497,000 $83,526,000 $186,277,000 $15,689,000