Recent Annual Filings for MYFW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,919,037,000 $90,071,000 $78,492,000 $8,893,000 $-544,000 $-84,298,000 $-18,401,000
2023 $2,975,462,000 $82,698,000 $75,637,000 $5,544,000 $21,880,000 $102,441,000 $57,930,000
2022 $2,866,748,000 $107,934,000 $79,106,000 $19,958,000 $48,278,000 $320,049,000 $-190,471,000
2021 $2,527,489,000 $95,429,000 $68,149,000 $20,153,000 $165,848,000 $111,504,000 $230,994,000
2020 $1,973,655,000 $92,600,000 $59,537,000 $25,378,000 $-93,331,000 $626,702,000 $77,351,000
2019 $1,251,682,000 $63,976,000 $53,784,000 $9,365,000 $-21,513,000 $143,173,000 $5,281,000
2018 $1,084,324,000 $57,617,000 $50,195,000 $5,290,000 $17,800,000 $109,126,000 $63,855,000