Recent Annual Filings for FPI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $868,560,000 $58,226,000 $-3,208,000 $60,271,000 $16,142,000 $-211,944,000 $72,952,000
2023 $1,022,002,000 $57,466,000 $25,951,000 $31,066,000 $12,887,000 $-173,513,000 $-2,165,000
2022 $1,160,149,000 $61,210,000 $49,023,000 $14,987,000 $17,051,000 $20,830,000 $-22,517,000
2021 $1,121,525,000 $51,739,000 $41,480,000 $12,918,000 $7,856,000 $13,867,000 $2,954,000
2020 $1,090,991,000 $50,689,000 $43,159,000 $6,794,000 $19,726,000 $-23,738,000 $14,656,000
2019 $1,102,553,000 $53,564,000 $38,714,000 $14,071,000 $17,994,000 $-53,376,000 $-4,330,000
2018 $1,139,509,000 $56,069,000 $42,029,000 $14,040,000 $20,003,000 $-40,784,000 $-36,645,000
2017 $1,166,086,000 $46,219,000 $37,061,000 $9,158,000 $929,000 $239,548,000 $6,370,000