Recent Annual Filings for FGF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $109,469,000 $32,023,000 $55,021,000 $-2,459,000 $-4,714,000 $-6,858,000 $1,565,000
2023 $65,736,000 $26,842,000 $22,997,000 $3,845,000 $-4,215,000 $-506,000 $-614,000
2022 $49,475,000 $6,777,000 $5,689,000 $1,088,000 $-11,022,000 $1,943,000 $-12,532,000
2021 $40,829,000 $4,864,000 $12,197,000 $-7,188,000 $-14,406,000 $11,918,000 $3,410,000
2020 $34,705,000 $-17,156,000 $5,966,000 $-22,457,000 $-11,283,000 $-3,938,000 $-16,377,000