Recent Annual Filings for FWRD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,802,641,000 $2,474,262,000 $3,537,198,000 $-1,133,960,000 $-75,402,000 $-163,832,000 $-1,846,807,000
2023 $2,979,533,000 $1,370,735,000 $1,282,525,000 $167,351,000 $181,388,000 $1,550,025,000 $1,906,251,000
2022 $1,208,076,000 $1,973,403,000 $1,707,427,000 $193,191,000 $259,090,000 $-146,122,000 $8,506,000
2021 $1,117,823,000 $1,662,427,000 $1,503,126,000 $105,859,000 $120,261,000 $-34,887,000 $-2,938,000
2020 $1,047,393,000 $1,269,573,000 $1,195,649,000 $23,733,000 $84,666,000 $-26,454,000 $-24,495,000
2019 $990,878,000 $1,410,395,000 $1,291,572,000 $87,099,000 $159,019,000 $-56,012,000 $39,092,000
2018 $760,215,000 $1,320,886,000 $1,198,855,000 $92,051,000 $152,554,000 $-75,327,000 $21,764,000
2017 $687,716,000 $1,100,816,000 $992,144,000 $87,321,000 $103,364,000 $-48,794,000 $-4,618,000