Recent Annual Filings for FHTX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $283,982,000 $22,602,000 $109,222,000 $-85,659,000 $-100,406,000 $105,428,000 $-24,882,000
2023 $285,916,000 $34,155,000 $128,355,000 $-95,266,000 $-118,106,000 $1,778,000 $28,122,000
2022 $404,883,000 $19,228,000 $136,365,000 $-112,858,000 $193,612,000 $1,763,000 $-48,947,000
2021 $519,774,000 $1,319,000 $102,053,000 $-101,323,000 $-50,250,000 $22,418,000 $8,341,000
2020 $255,594,000 $430,000 $69,230,000 $-68,807,000 $-31,286,000 $217,473,000 $77,273,000