Recent Annual Filings for FRST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,690,115,000 $210,969,000 $239,872,000 $-15,660,000 $19,530,000 $-140,875,000 $-13,048,000
2023 $3,856,546,000 $192,618,000 $203,797,000 $-3,759,000 $28,818,000 $283,632,000 $-306,000
2022 $3,571,537,000 $126,074,000 $103,798,000 $-9,221,000 $13,105,000 $152,098,000 $-452,308,000
2021 $3,407,353,000 $113,243,000 $73,504,000 $28,875,000 $27,315,000 $296,212,000 $333,982,000