Recent Annual Filings for FLL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $673,334,000 $292,065,000 $289,315,000 $-40,672,000 $13,845,000 $-1,498,000 $-33,323,000
2023 $688,457,000 $241,060,000 $242,222,000 $-24,904,000 $22,345,000 $59,031,000 $-117,382,000
2022 $595,329,000 $163,281,000 $150,598,000 $-14,804,000 $4,377,000 $93,620,000 $-74,117,000
2021 $473,842,000 $180,159,000 $142,605,000 $11,706,000 $29,504,000 $235,308,000 $227,595,000
2020 $212,616,000 $125,589,000 $115,113,000 $147,000 $8,991,000 $1,475,000 $7,847,000
2019 $211,335,000 $165,432,000 $159,216,000 $-5,822,000 $10,469,000 $7,418,000 $9,217,000
2018 $182,272,000 $163,876,000 $156,450,000 $-4,371,000 $9,824,000 $8,330,000 $724,000
2017 $173,485,000 $161,267,000 $154,210,000 $-5,028,000 $7,143,000 $-3,060,000 $-7,128,000