Recent Annual Filings for FGI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $75,461,415 $131,818,073 $134,100,171 $-2,862,338 $-7,425,317 $7,543,192 $-3,219,081
2023 $65,744,930 $117,241,604 $115,853,816 $864,384 $1,389,699 $-2,835,876 $-2,290,187
2022 $60,366,930 $161,718,543 $157,177,993 $2,938,333 $980,265 $7,010,567 $6,183,532