Recent Annual Filings for FOR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,840,100,000 $1,509,400,000 $1,239,300,000 $203,400,000 $-158,400,000 $16,300,000 $-134,800,000
2023 $2,470,700,000 $1,436,900,000 $1,215,300,000 $166,900,000 $364,100,000 $-13,200,000 $351,200,000
2022 $2,343,000,000 $1,519,100,000 $1,283,300,000 $178,800,000 $108,700,000 $1,200,000 $111,200,000
2021 $2,101,700,000 $1,325,800,000 $1,179,200,000 $110,500,000 $-303,100,000 $61,400,000 $-240,700,000
2020 $1,739,900,000 $931,800,000 $853,700,000 $61,700,000 $168,400,000 $174,900,000 $348,300,000
2019 $1,455,700,000 $428,300,000 $382,600,000 $36,300,000 $-391,200,000 $439,800,000 $47,800,000
2017 $761,912,000 $114,322,000 $187,968,000 $52,332,000 $-16,215,000 $-62,344,000 $55,985,000
2016 $733,208,000 $197,314,000 $223,707,000 $58,648,000 $66,877,000 $-318,264,000 $169,356,000