Recent Annual Filings for FUNC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,973,022,000 $17,715,000 $-9,515,000 $26,148,000 $22,281,000 $44,728,000 $28,574,000
2023 $1,905,860,000 $16,670,000 $-2,806,000 $18,259,000 $22,470,000 $34,677,000 $-24,562,000
2022 $1,848,169,000 $16,157,000 $-17,024,000 $13,336,000 $26,543,000 $104,456,000 $-41,405,000
2021 $1,729,838,000 $16,056,000 $-10,253,000 $21,319,000 $20,021,000 $-25,308,000 $-33,712,000
2020 $1,733,414,000 $13,281,000 $-4,507,000 $10,949,000 $16,169,000 $274,565,000 $99,453,000
2019 $1,442,027,000 $12,965,000 $-3,500,000 $11,561,000 $16,390,000 $42,570,000 $26,438,000
2018 $1,384,516,000 $12,579,000 $-852,000 $10,857,000 $18,294,000 $35,207,000 $-60,211,000
2017 $1,340,839,000 $46,949,000 $34,735,000 $6,524,000 $12,924,000 $15,174,000 $20,442,000