Recent Annual Filings for FROG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,129,906,000 $428,488,000 $494,308,000 $-69,594,000 $110,924,000 $21,231,000 $-34,150,000
2023 $972,556,000 $349,886,000 $404,402,000 $-57,471,000 $74,155,000 $18,371,000 $39,170,000
2022 $871,221,000 $280,040,000 $364,786,000 $-93,567,000 $21,425,000 $11,027,000 $-22,933,000
2021 $852,528,000 $206,683,000 $274,308,000 $-63,964,000 $27,902,000 $1,444,000 $-96,199,000
2020 $689,231,000 $150,827,000 $162,974,000 $-9,068,000 $29,458,000 $406,134,000 $123,796,000