Recent Annual Filings for FMBH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,519,734,000 $357,379,000 $252,983,000 $72,942,000 $124,425,000 $-138,764,000 $-21,848,000
2023 $7,586,794,000 $300,166,000 $211,761,000 $84,015,000 $72,417,000 $-556,166,000 $-9,369,000
2022 $6,744,215,000 $215,891,000 $124,599,000 $-77,724,000 $65,824,000 $96,695,000 $-16,169,000
2021 $5,986,582,000 $183,013,000 $116,225,000 $33,564,000 $69,596,000 $164,224,000 $-248,679,000
2020 $4,726,348,000 $144,141,000 $84,399,000 $54,005,000 $63,541,000 $831,082,000 $332,201,000
2019 $3,839,426,000 $149,721,000 $86,455,000 $62,776,000 $62,828,000 $-87,076,000 $-56,320,000
2018 $3,839,734,000 $124,565,000 $76,060,000 $32,431,000 $42,175,000 $21,307,000 $52,521,000
2017 $2,841,539,000 $99,555,000 $57,829,000 $30,209,000 $46,154,000 $-77,215,000 $-87,023,000