Recent Annual Filings for FPH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,076,417,000 $237,926,000 $170,328,000 $179,216,000 $115,986,000 $-108,976,000 $77,074,000
2023 $2,969,288,000 $211,732,000 $185,483,000 $114,767,000 $154,123,000 $-9,204,000 $222,030,000
2022 $2,885,784,000 $42,694,000 $101,523,000 $-36,448,000 $-188,302,000 $-9,717,000 $-134,029,000
2021 $2,942,910,000 $224,394,000 $221,411,000 $14,736,000 $-81,420,000 $-26,577,000 $-32,682,000
2020 $2,961,985,000 $153,619,000 $194,870,000 $859,000 $-78,499,000 $-23,541,000 $-49,100,000
2019 $3,004,700,000 $184,380,000 $234,756,000 $23,328,000 $-232,040,000 $83,206,000 $-148,523,000
2018 $2,923,892,000 $48,990,000 $127,857,000 $-69,107,000 $-343,296,000 $-10,131,000 $-352,848,000
2017 $2,978,355,000 $139,431,000 $229,174,000 $24,920,000 $-58,143,000 $900,206,000 $786,174,000