Recent Annual Filings for FRGE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $263,506,000 $79,329,000 $146,106,000 $-68,418,000 $-40,533,000 $-3,891,000 $-39,528,000
2023 $310,731,000 $69,821,000 $160,551,000 $-91,171,000 $-41,456,000 $57,000 $-49,181,000
2022 $363,729,000 $69,383,000 $180,961,000 $-110,750,000 $-68,806,000 $192,862,000 $118,561,000