Recent Annual Filings for FISI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,117,085,000 $313,231,000 $381,379,000 $25,691,000 $77,127,000 $-106,016,000 $-37,121,000
2023 $6,160,881,000 $286,133,000 $223,080,000 $67,810,000 $10,894,000 $293,172,000 $-6,024,000
2022 $5,797,272,000 $196,107,000 $125,137,000 $-67,707,000 $133,573,000 $242,941,000 $51,354,000
2021 $5,520,779,000 $167,205,000 $69,983,000 $62,362,000 $72,962,000 $545,694,000 $-14,766,000
2020 $4,912,306,000 $161,299,000 $115,576,000 $54,973,000 $43,455,000 $468,547,000 $-19,069,000
2019 $4,384,178,000 $168,800,000 $109,379,000 $58,413,000 $57,710,000 $-22,785,000 $10,192,000
2018 $4,311,698,000 $152,732,000 $103,200,000 $30,161,000 $65,139,000 $163,830,000 $3,560,000
2017 $4,105,210,000 $130,110,000 $86,639,000 $35,561,000 $46,279,000 $354,253,000 $27,918,000