Recent Annual Filings for FTFT
Fiscal Year |
Assets |
Revenues |
Costs & Expenses |
Comprehensive Income |
Cash Flow - Operating |
Cash Flow - Financing |
Total Net Cash Flow |
2024 |
$25,902,938 |
$2,158,125 |
$36,391,967 |
$-33,219,249 |
$-11,142,927 |
$2,507,171 |
$-12,570,124 |
2023 |
$60,940,750 |
$34,865,553 |
$69,265,382 |
$-34,487,170 |
$-16,651,323 |
$-1,823,748 |
$-10,628,642 |
2022 |
$85,017,719 |
$23,881,006 |
$37,680,114 |
$-17,341,507 |
$2,690,000 |
$-251,692 |
$-15,157,702 |
2021 |
$91,657,085 |
$25,050,801 |
$36,794,426 |
$-14,405,773 |
$-17,373,594 |
$69,274,810 |
$40,848,205 |
2020 |
$15,931,712 |
$370,657 |
$30,390,598 |
$75,542,889 |
$-2,274,610 |
$17,177,874 |
$9,600,159 |
2019 |
$115,980,570 |
$955,172 |
$14,640,186 |
$-3,517,734 |
$-15,839,843 |
$-5,431,630 |
$408,599 |
2018 |
$62,946,609 |
$888,670 |
$190,640,791 |
$-100,588,059 |
$-4,880,137 |
$155,970 |
$-4,333,673 |
2017 |
$190,680,253 |
$10,463,135 |
$112,498,569 |
$-130,145,905 |
$23,656,500 |
$-19,905,302 |
$3,443,173 |