Recent Annual Filings for FIX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,711,088,000 $7,027,476,000 $6,360,915,000 $522,433,000 $849,057,000 $-160,759,000 $344,789,000
2023 $3,305,579,000 $5,206,760,000 $4,818,566,000 $323,398,000 $639,568,000 $-298,624,000 $147,936,000
2022 $2,597,478,000 $4,140,364,000 $3,904,506,000 $245,947,000 $301,531,000 $-205,915,000 $-1,562,000
2021 $2,209,114,000 $3,073,636,000 $2,883,362,000 $143,348,000 $180,151,000 $70,451,000 $3,880,000
2020 $1,757,355,000 $2,856,659,000 $2,665,119,000 $150,139,000 $286,510,000 $-74,600,000 $4,108,000
2019 $1,505,012,000 $2,615,277,000 $2,463,535,000 $114,324,000 $142,028,000 $87,590,000 $5,168,000
2018 $1,062,564,000 $2,182,879,000 $2,034,203,000 $112,903,000 $147,190,000 $-42,402,000 $9,078,000
2017 $881,120,000 $1,787,922,000 $1,686,984,000 $55,272,000 $114,090,000 $19,346,000 $4,468,000