Recent Annual Filings for FLIC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,119,336,000 $4,200,000 $-12,564,000 $17,628,000 $14,950,000 $-134,768,000 $-22,557,000
2023 $4,235,900,000 $3,300,000 $-26,168,000 $33,278,000 $32,162,000 $-81,094,000 $-13,291,000
2022 $4,281,511,000 $134,210,000 $75,991,000 $-15,522,000 $51,424,000 $212,850,000 $30,503,000
2021 $4,068,789,000 $122,959,000 $69,652,000 $37,206,000 $50,781,000 $-34,294,000 $-167,507,000
2020 $4,069,141,000 $131,216,000 $81,689,000 $44,178,000 $46,035,000 $-72,616,000 $172,214,000
2019 $4,097,843,000 $2,078,000 $-47,705,000 $51,590,000 $49,987,000 $-217,724,000 $-8,390,000
2018 $4,241,060,000 $2,089,000 $-44,546,000 $31,864,000 $59,374,000 $309,638,000 $-22,314,000
2017 $3,894,708,000 $118,265,000 $73,254,000 $37,272,000 $47,172,000 $341,279,000 $32,743,000