Full Year Operating Cash Flow of $143.9 Million Supports Company's Strategic Growth Investments -- -- $106.8 Million Returned to Shareholders via Repurchases and Dividends in FY 2024, Despite ...
Full Year Operating Cash Flow of $143.9 Million Supports Company’s Strategic Growth Investments ---- $106.8 Million Returned to Shareholders ...
Foresight’s asset quality remains strong. Non-performing assets of the Company as of September 30, 2024, totaled $23.7 million, up from $21.5 million the previous quarter. Loans past due 30 to 89 days ...
This camper is in pretty bad shape and has water damage and a crumpled shell; it can be the perfect project for a restoration ...