Recent Annual Filings for FSS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,765,200,000 $1,861,500,000 $1,597,600,000 $208,600,000 $231,300,000 $-121,000,000 $30,100,000
2023 $1,620,500,000 $1,722,700,000 $1,519,700,000 $160,100,000 $194,400,000 $-97,900,000 $13,500,000
2022 $1,524,300,000 $1,434,800,000 $1,283,900,000 $110,600,000 $71,800,000 $35,500,000 $7,000,000
2021 $1,366,100,000 $1,213,200,000 $1,095,600,000 $118,100,000 $101,800,000 $26,400,000 $-41,200,000
2020 $1,208,800,000 $1,130,800,000 $1,006,200,000 $93,600,000 $136,200,000 $-53,400,000 $50,100,000
2019 $1,165,500,000 $1,221,300,000 $1,082,700,000 $116,700,000 $103,100,000 $-24,600,000 $-5,800,000
2018 $1,023,800,000 $1,089,500,000 $977,900,000 $84,200,000 $92,800,000 $-81,200,000 $-100,000
2017 $992,300,000 $898,500,000 $837,500,000 $76,700,000 $72,800,000 $190,700,000 $-13,200,000