Recent Annual Filings for FRD
Fiscal Year |
Assets |
Revenues |
Costs & Expenses |
Comprehensive Income |
Cash Flow - Operating |
Cash Flow - Financing |
Total Net Cash Flow |
2024 |
$230,019,000 |
$516,251,000 |
$491,733,000 |
$17,662,000 |
$4,979,000 |
$1,337,000 |
$511,000 |
2023 |
$199,312,000 |
$547,542,000 |
$526,468,000 |
$31,296,000 |
$63,894,000 |
$13,557,000 |
$-10,736,000 |
2022 |
$159,275,070 |
$285,234,752 |
$256,970,160 |
$14,985,654 |
$-13,397,759 |
$17,244,701 |
$-4,070,968 |
2021 |
$95,008,809 |
$126,102,533 |
$110,377,138 |
$236,634 |
$8,426,886 |
$-701,911 |
$3,134,735 |
2020 |
$77,344,088 |
$142,102,324 |
$148,959,786 |
$-5,249,210 |
$11,232,819 |
$-889,573 |
$5,390,590 |
2019 |
$86,601,982 |
$187,154,493 |
$180,771,051 |
$5,099,924 |
$9,632,090 |
$-1,191,605 |
$7,614,579 |
2018 |
$74,363,205 |
$121,157,278 |
$117,114,884 |
$2,759,404 |
$3,245,349 |
$-280,378 |
$2,590,887 |
2017 |
$63,263,297 |
$77,756,055 |
$81,965,876 |
$-2,678,684 |
$-202,658 |
$-274,078 |
$-1,335,067 |