Recent Annual Filings for FRT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,524,757,000 $1,202,452,000 $898,118,000 $305,045,000 $574,563,000 $-252,298,000 $-124,561,000
2023 $8,436,512,000 $1,132,154,000 $884,937,000 $245,393,000 $555,830,000 $-33,849,000 $163,656,000
2022 $8,233,991,000 $1,074,378,000 $678,717,000 $404,230,000 $516,769,000 $190,414,000 $-78,815,000
2021 $7,622,320,000 $951,224,000 $682,143,000 $272,998,000 $471,352,000 $-452,967,000 $-641,733,000
2020 $7,607,624,000 $835,494,000 $699,606,000 $130,586,000 $369,929,000 $661,736,000 $663,282,000
2019 $6,794,992,000 $935,788,000 $575,246,000 $360,145,000 $461,919,000 $-100,105,000 $45,282,000
2018 $6,289,644,000 $915,436,000 $678,325,000 $248,588,000 $516,688,000 $-241,309,000 $83,132,000
2017 $6,275,755,000 $857,348,000 $637,400,000 $300,469,000 $459,177,000 $369,445,000 $-8,180,000