Recent Annual Filings for FRHC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,301,930,000 $1,635,080,000 $1,199,709,000 $390,014,000 $-1,064,362,000 $1,674,572,000 $-15,818,000
2023 $5,084,558,000 $795,693,000 $559,755,000 $234,711,000 $-951,683,000 $2,133,381,000 $-237,857,000
2022 $2,921,009,000 $564,663,000 $327,769,000 $194,124,000 $-347,988,000 $453,684,000 $42,441,000
2021 $2,018,645,000 $352,551,000 $179,529,000 $565,299,000 $348,411,000 $698,828,000
2020 $453,523,000 $121,902,000 $93,770,000 $9,915,000 $44,271,000 $33,109,000 $41,385,000