Recent Annual Filings for FND

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,050,478,000 $4,455,770,000 $4,202,367,000 $204,410,000 $603,155,000 $-3,042,000 $153,287,000
2023 $4,662,550,000 $4,413,884,000 $4,102,353,000 $243,065,000 $803,589,000 $-214,035,000 $24,588,000
2022 $4,351,242,000 $4,264,473,000 $3,878,851,000 $301,997,000 $112,450,000 $213,537,000 $-129,650,000
2021 $3,730,695,000 $3,433,533,000 $3,099,465,000 $283,601,000 $301,342,000 $1,568,000 $-168,328,000
2020 $2,880,425,000 $2,425,788,000 $2,218,583,000 $195,338,000 $406,164,000 $87,019,000 $280,735,000
2019 $2,324,309,000 $2,045,456,000 $1,895,076,000 $150,252,000 $204,658,000 $17,743,000 $26,393,000
2018 $1,234,091,000 $1,709,848,000 $1,587,464,000 $116,578,000 $185,624,000 $-34,139,000 $88,000
2017 $1,067,992,000 $1,384,767,000 $1,286,215,000 $102,407,000 $109,207,000 $-6,849,000 $105,000