Recent Annual Filings for FHI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,084,684,000 $1,632,093,000 $1,250,484,000 $255,571,000 $346,554,000 $-286,397,000 $120,613,000
2023 $2,101,844,000 $1,609,574,000 $1,198,242,000 $331,131,000 $311,831,000 $-243,087,000 $45,999,000
2022 $2,020,479,000 $1,445,814,000 $1,139,592,000 $170,197,000 $323,948,000 $-168,513,000 $102,904,000
2021 $2,018,187,000 $1,300,447,000 $924,157,000 $266,056,000 $170,383,000 $-249,472,000 $-70,584,000
2020 $2,060,839,000 $1,448,268,000 $1,002,211,000 $358,035,000 $373,241,000 $-295,136,000 $59,124,000