Recent Annual Filings for FTCI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $89,928,000 $47,355,000 $95,731,000 $-48,855,000 $-34,699,000 $14,498,000 $-13,988,000
2023 $123,070,000 $127,002,000 $177,630,000 $-50,522,000 $-52,656,000 $33,950,000 $-19,150,000
2022 $134,398,000 $123,066,000 $222,244,000 $-99,681,000 $-54,510,000 $903,000 $-57,800,000
2021 $243,020,000 $270,525,000 $376,945,000 $-106,579,000 $-132,854,000 $180,369,000 $68,812,000