Recent Annual Filings for FRPT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,574,878,000 $975,177,000 $927,654,000 $46,729,000 $154,288,000 $4,566,000 $-28,238,000
2023 $1,464,421,000 $766,895,000 $798,409,000 $-35,575,000 $75,940,000 $327,289,000 $164,136,000
2022 $1,125,383,000 $595,344,000 $650,825,000 $-58,004,000 $-43,227,000 $336,538,000 $59,947,000
2021 $784,410,000 $425,489,000 $453,021,000 $-29,740,000 $647,000 $326,993,000 $5,541,000
2020 $434,388,000 $318,790,000 $321,913,000 $-3,189,000 $21,193,000 $199,044,000 $57,775,000
2019 $236,125,587 $245,862,054 $247,100,638 $-1,430,295 $16,316,549 $56,233,569 $1,917,288
2018 $139,964,858 $193,237,462 $198,521,570 $-5,468,943 $18,575,195 $3,068,970 $5,370,129
2017 $133,900,334 $156,379,210 $160,566,356 $-4,186,212 $10,270,263 $1,009,575 $-1,723,918