Recent Annual Filings for FRAF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,197,841,000 $101,451,000 $88,136,000 $16,531,000 $21,755,000 $343,084,000 $180,473,000
2023 $1,836,039,000 $76,762,000 $61,009,000 $23,945,000 $26,565,000 $109,943,000 $-41,759,000
2022 $1,699,579,000 $56,449,000 $38,954,000 $-35,802,000 $25,244,000 $-40,439,000 $-110,250,000
2021 $1,773,806,000 $47,573,000 $24,559,000 $15,879,000 $26,349,000 $225,592,000 $118,003,000
2020 $1,535,038,000 $45,939,000 $32,881,000 $21,976,000 $6,435,000 $244,197,000 $-26,682,000
2019 $1,269,157,000 $49,235,000 $30,240,000 $16,509,000 $18,966,000 $35,386,000 $30,871,000