Recent Annual Filings for FR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,261,426,000 $669,641,000 $397,224,000 $293,631,000 $352,488,000 $-213,030,000 $7,838,000
2023 $5,175,765,000 $614,027,000 $369,394,000 $274,493,000 $304,815,000 $-27,783,000 $-101,274,000
2022 $4,954,322,000 $539,929,000 $325,964,000 $420,129,000 $410,943,000 $304,503,000 $86,338,000
2021 $4,179,098,000 $476,290,000 $296,863,000 $290,148,000 $266,895,000 $9,050,000 $-140,878,000
2020 $3,791,938,000 $448,028,000 $281,681,000 $189,874,000 $240,430,000 $58,248,000 $46,940,000
2019 $3,518,828,000 $425,984,000 $194,932,000 $233,294,000 $245,533,000 $62,198,000 $102,345,000
2018 $3,142,691,000 $403,954,000 $236,436,000 $169,526,000 $210,495,000 $16,794,000 $3,891,000
2017 $2,941,062,000 $396,402,000 $186,908,000 $214,487,000 $191,109,000 $-83,593,000 $11,287,000