Recent Annual Filings for FWRG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,514,356,000 $1,015,910,000 $977,003,000 $19,151,000 $115,673,000 $74,331,000 $-16,649,000
2023 $1,267,045,000 $891,551,000 $850,284,000 $25,385,000 $95,338,000 $28,070,000 $38,000
2022 $1,104,446,000 $730,162,000 $713,249,000 $6,907,000 $62,937,000 $-2,018,000 $-2,192,000
2021 $1,046,917,000 $601,193,000 $578,950,000 $-2,107,000 $62,971,000 $-14,271,000 $13,018,000