Recent Annual Filings for FRSH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,611,884,000 $720,420,000 $811,257,000 $-94,952,000 $160,646,000 $-67,260,000 $132,189,000
2023 $1,456,772,000 $596,432,000 $720,201,000 $-130,759,000 $86,178,000 $-60,619,000 $184,058,000
2022 $1,380,216,000 $497,999,000 $718,789,000 $-238,816,000 $-2,525,000 $-156,354,000 $-443,706,000
2021 $1,482,812,000 $371,022,000 $552,501,000 $-193,153,000 $11,460,000 $1,058,369,000 $649,533,000
2018 $246,724,000 $126,429,000 $115,160,000 $4,324,000 $10,240,000 $-13,634,000 $3,592,000
2016 $273,872,000 $126,883,000 $117,235,000 $2,649,000 $16,804,000 $-2,212,000 $-4,798,000
2015 $275,471,000 $120,209,000 $104,574,000 $4,911,000 $23,743,000 $-2,378,000 $1,811,000
2014 $266,949,000 $97,399,000 $82,094,000 $1,248,000 $15,509,000 $-4,631,000 $1,351,000