Recent Annual Filings for FORR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $503,862,000 $432,470,000 $431,730,000 $-8,922,000 $-3,861,000 $-16,099,000 $-14,941,000
2023 $564,174,000 $480,779,000 $474,013,000 $6,397,000 $21,673,000 $-18,299,000 $-33,385,000
2022 $608,438,000 $537,787,000 $505,133,000 $17,077,000 $39,425,000 $-38,871,000 $-6,260,000
2021 $680,129,000 $494,315,000 $455,673,000 $22,345,000 $107,067,000 $-49,143,000 $28,628,000
2020 $644,218,000 $448,984,000 $432,809,000 $14,157,000 $47,754,000 $-23,687,000 $19,497,000
2019 $639,160,000 $461,697,000 $462,772,000 $-9,273,000 $48,406,000 $129,438,000 $-71,701,000
2018 $353,524,000 $357,575,000 $335,150,000 $12,264,000 $38,418,000 $-13,954,000 $60,506,000
2017 $345,200,000 $337,673,000 $310,124,000 $20,701,000 $37,493,000 $-37,619,000 $2,832,000