Recent Annual Filings for FLS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,500,821,000 $1,434,246,000 $971,967,000 $199,052,000 $425,308,000 $117,495,000 $129,763,000
2023 $5,108,719,000 $1,276,828,000 $943,275,000 $200,592,000 $325,772,000 $-153,014,000 $110,707,000
2022 $4,790,634,000 $994,295,000 $797,076,000 $115,069,000 $-40,010,000 $-150,012,000 $-223,481,000
2021 $4,749,768,000 $1,049,725,000 $778,966,000 $180,916,000 $250,119,000 $-599,707,000 $-436,822,000
2020 $5,314,677,000 $1,116,769,000 $866,492,000 $117,790,000 $310,537,000 $147,587,000 $424,294,000
2019 $4,919,642,000 $1,295,370,000 $889,330,000 $252,014,000 $312,741,000 $-229,654,000 $51,297,000
2018 $4,616,277,000 $1,187,836,000 $940,298,000 $57,244,000 $190,831,000 $-173,284,000 $-83,762,000
2017 $4,910,474,000 $1,085,377,000 $749,955,000 $124,081,000 $311,066,000 $-185,353,000 $336,283,000