Recent Annual Filings for FSP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $946,931,000 $120,112,000 $152,841,000 $-53,078,000 $8,987,000 $-164,468,000 $-85,197,000
2023 $1,169,330,000 $145,707,000 $171,009,000 $-52,113,000 $17,866,000 $-10,254,000 $121,248,000
2022 $1,241,666,000 $165,615,000 $187,941,000 $10,691,000 $15,234,000 $-123,392,000 $-34,119,000
2021 $1,364,173,000 $209,358,000 $228,657,000 $104,789,000 $36,362,000 $-505,235,000 $36,601,000
2020 $1,793,184,000 $245,848,000 $254,911,000 $19,986,000 $68,449,000 $-85,128,000 $-5,640,000
2019 $1,842,654,000 $269,065,000 $262,321,000 $-12,972,000 $81,915,000 $-63,686,000 $-1,387,000
2018 $1,898,102,000 $268,870,000 $262,234,000 $15,668,000 $80,202,000 $-104,488,000 $1,358,000
2017 $1,990,512,000 $272,588,000 $264,169,000 $-9,256,000 $95,930,000 $-90,398,000 $438,000