Recent Annual Filings for FTHM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $75,397,000 $335,184,000 $357,783,000 $-21,577,000 $-4,688,000 $1,236,000 $-150,000
2023 $79,258,000 $345,226,000 $369,059,000 $-23,981,000 $-10,572,000 $11,600,000 $-840,000
2022 $80,187,000 $412,964,000 $440,644,000 $-27,626,000 $-6,583,000 $-15,862,000 $-29,541,000
2021 $104,930,000 $330,230,000 $345,968,000 $-12,491,000 $-11,697,000 $34,616,000 $8,359,000
2020 $35,224,979 $176,784,060 $178,133,115 $-1,340,584 $-1,214,252 $31,106,216 $28,982,218