Recent Annual Filings for FSEA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $580,780,000 $25,431,000 $25,417,000 $-1,613,000 $-2,948,000 $6,490,000 $1,031,000
2023 $571,035,000 $20,590,000 $27,302,000 $-6,873,000 $-1,915,000 $39,221,000 $-2,181,000
2022 $537,424,000 $16,610,000 $17,626,000 $-11,013,000 $973,000 $58,712,000 $1,612,000
2021 $487,074,000 $15,495,000 $12,273,000 $1,961,000 $2,421,000 $41,719,000 $642,000
2020 $443,062,000 $15,850,000 $14,795,000 $1,939,000 $1,421,000 $32,469,000 $1,987,000
2019 $409,493,000 $15,448,000 $15,716,000 $907,000 $1,059,000 $20,191,000 $-1,880,000