Recent Annual Filings for FI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $77,176,000,000 $20,456,000,000 $14,577,000,000 $2,516,000,000 $6,631,000,000 $-4,165,000,000 $30,000,000
2023 $90,890,000,000 $19,093,000,000 $14,079,000,000 $3,525,000,000 $5,162,000,000 $-4,356,000,000 $-229,000,000
2020 $816,901,000 $390,358,000 $550,659,000 $-157,888,000 $39,651,000 $-2,082,000 $14,507,000
2019 $994,165,000 $579,920,000 $791,455,000 $-234,925,000 $27,048,000 $-5,945,000 $10,528,000
2018 $1,193,929,000 $522,493,000 $616,176,000 $-92,099,000 $-32,644,000 $-7,946,000 $-26,803,000
2017 $1,261,769,000 $454,795,000 $541,334,000 $-157,452,000 $24,774,000 $-52,471,000 $-106,511,000
2016 $1,588,061,000 $487,531,000 $669,253,000 $-154,737,000 $-10,831,000 $-96,765,000 $-282,833,000
2015 $1,726,838,000 $974,600,000 $831,171,000 $90,885,000 $427,758,000 $-141,209,000 $113,005,000