Recent Annual Filings for FGBI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,972,728,000 $221,706,000 $205,700,000 $12,539,000 $33,729,000 $386,093,000 $277,753,000
2023 $3,552,772,000 $183,009,000 $171,113,000 $11,488,000 $21,714,000 $387,610,000 $203,236,000
2022 $3,151,347,000 $136,576,000 $100,186,000 $20,289,000 $36,865,000 $252,333,000 $-178,713,000
2021 $2,878,120,000 $111,917,000 $77,462,000 $20,017,000 $26,520,000 $388,452,000 $-37,673,000
2020 $2,473,078,000 $100,684,000 $75,147,000 $18,790,000 $23,759,000 $336,876,000 $232,180,000
2019 $2,117,216,000 $91,643,000 $73,746,000 $23,554,000 $29,078,000 $42,288,000 $-60,540,000
2018 $1,817,211,000 $78,390,000 $60,715,000 $8,937,000 $26,889,000 $56,259,000 $89,937,000
2017 $1,750,430,000 $67,546,000 $48,396,000 $14,194,000 $12,275,000 $90,638,000 $19,917,000