Recent Annual Filings for FRPH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $728,485,000 $41,774,000 $30,070,000 $6,480,000 $28,986,000 $12,700,000 $-8,935,000
2023 $709,166,000 $41,506,000 $29,806,000 $6,193,000 $32,971,000 $-4,166,000 $-19,942,000
2022 $701,084,000 $37,481,000 $29,485,000 $2,658,000 $22,338,000 $16,834,000 $15,976,000
2021 $678,190,000 $31,220,000 $28,946,000 $39,532,000 $22,242,000 $-1,231,000 $87,612,000
2020 $536,360,000 $23,583,000 $18,449,000 $11,474,000 $18,613,000 $-21,838,000 $47,302,000
2019 $538,148,000 $23,756,000 $18,000,000 $17,302,000 $47,023,000 $-9,144,000 $4,060,000
2018 $505,488,000 $22,022,000 $-101,066,000 $122,349,000 $-37,186,000 $-35,736,000 $18,023,000
2017 $418,734,000 $43,191,000 $29,586,000 $60,575,000 $21,059,000 $786,000 $4,524,000