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