Recent Annual Filings for FSI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $59,968,579 $38,234,860 $33,282,060 $4,289,749 $5,568,346 $-978,333 $2,135,987
2023 $55,471,055 $38,324,806 $34,701,556 $3,766,638 $6,989,965 $-437,949 $882,072
2022 $51,587,192 $45,840,469 $37,981,384 $7,683,160 $1,476,903 $848,326 $109,594
2021 $39,551,270 $34,416,335 $27,765,579 $4,390,648 $4,535,746 $-1,709,800 $2,166,407
2020 $35,087,388 $31,407,454 $26,216,479 $3,706,023 $5,705,441 $-2,697,337 $-207,225
2019 $32,380,417 $27,440,110 $25,125,489 $2,525,148 $2,369,950 $-3,087,922 $-3,384,602
2017 $17,773,370 $15,494,325 $12,687,380 $2,185,856 $1,042,425 $-45,173 $4,442,072
2016 $15,158,487 $16,246,014 $13,166,754 $1,911,924 $1,775,226 $-1,693,593 $-28,672