Recent Annual Filings for FOA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $29,156,490,000 $338,171,000 $295,355,000 $35,664,000 $-423,815,000 $386,207,000 $77,194,000
2023 $27,107,590,000 $234,250,000 $401,092,000 $-218,134,000 $-71,568,000 $-139,228,000 $-52,659,000
2022 $20,872,655,000 $573,241,000 $1,305,293,000 $-715,691,000 $1,407,819,000 $225,214,000 $-186,042,000
2021 $21,788,946,000 $1,736,234,000 $2,932,450,000 $-1,176,803,000 $-96,587,000 $1,462,660,000 $-100,946,000