Recent Annual Filings for FNWD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,060,699,000 $89,178,000 $75,723,000 $5,659,000 $9,805,000 $-68,018,000 $-15,424,000
2023 $2,108,279,000 $85,783,000 $77,738,000 $21,067,000 $24,211,000 $15,494,000 $54,726,000
2022 $2,070,339,000 $72,035,000 $55,477,000 $-53,496,000 $17,762,000 $-18,493,000 $-1,894,000
2021 $1,620,743,000 $50,655,000 $34,278,000 $8,798,000 $17,043,000 $122,142,000 $13,254,000