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