FXF Invesco CurrencyShares Swiss Franc Trust

FXF financial statements, revenue, balance sheet, cash flow, and SEC filings

CIK: 1353615 Exchange: NYSE SIC: 6221 (Commodity Contracts Brokers & Dealers)
Showing 3 of 17 annual and 0 of 61 quarterly periods. Full history available with a free account or via API.

▼ Company Profile

Filer Category
Non-accelerated filer<br>Smaller reporting company
Entity Type
Operating
Public Float
$503.10M (Jun 2025)
Industry (SIC)
6221 Commodity Contracts Brokers & Dealers
Incorporated
NY
Fiscal Year End
December (1231)
Phone
800-983-0903
EIN
000000000
Headquarters
DOWNERS GROVE, IL, 60515
Public Float History
Market value of shares held by public investors, reported in annual DEI filings.
Former Names: CURRENCYSHARES SWISS FRANC TRUST (2006–2018)

▼ Key Metrics (TTM)

As of Jun 30, 2026
Financials
Revenue
$0
Net Income
$-2.48M
Total Assets
$432.07M
Total Equity
$0
Total Debt
-
Free Cash Flow
-
Ratios
Return on Assets
-0.6%
Sources and calculation details

Reported values are preserved. Derived values use the listed inputs; unavailable inputs remain blank.

Field-level sources for this historical record are unavailable until it is rebuilt from SEC facts.

Annual (FY)
Quarterly 🔒
Chart 🔒
Annual financial statements for Invesco CurrencyShares Swiss Franc Trust
Metric FY2025 📄 FY2024 📄 FY2023 📄
Income Statement
REVENUE
Revenue $0 $458.64K $318.78K
OPERATING EXPENSES
NON-OPERATING INCOME / EXPENSE
Interest Expense - $0 $54
Interest Income $0 $458.64K $318.78K
Income Tax $0 $0 $0
Net Income $-1.69M $-158.21K $-453.25K
PER SHARE & SUPPLEMENTAL
Diluted EPS $-0.53 $-0.10 $-0.23
Diluted Shares 3.19M 1.52M 1.94M
Balance Sheet
ASSETS
Cash & Equivalents $396.59M $142.21M $190.29M
Total Assets $396.59M $142.22M $190.37M
LIABILITIES
Other Current Liabilities $134.66K $48.18K $66.16K
Total Liabilities $320.52K $48.18K $66.56K
EQUITY
Retained Earnings $0 $0 $0
Total Equity $0 $0 $0
Redeemable NCI $396.27M $142.17M $190.31M
Total Liabilities & Equity $396.59M $142.22M $190.37M
SUPPLEMENTAL
Check: A − (L + E + NCI) - - -
Cash Flow Statement
Cash from Operations $-1.54M $-101.83K $-544.81K
Capital Expenditures - - -
Cash from Investing - - -
Cash from Financing $224.34M $-34.62M $-43.88M
Free Cash Flow - - -
Beginning Cash (CFS) $142.21M $190.29M -
Net Change in Cash - - -
Effect of FX on Cash $31.58M $-13.36M $17.68M
Calculated Ending Cash - - -
Cash per BS $396.59M $142.21M $190.29M
Cash scope difference (CFS − BS) - - -
Cash per CFS $396.59M $142.21M $190.29M

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▼ Frequently Asked Questions

What is Invesco CurrencyShares Swiss Franc Trust's annual revenue?

Invesco CurrencyShares Swiss Franc Trust reported $0 in revenue for trailing twelve months (ending June 2026). Revenue figures are sourced from the company's annual SEC EDGAR filing.

Is Invesco CurrencyShares Swiss Franc Trust profitable?

No. Invesco CurrencyShares Swiss Franc Trust reported $-2.48M in net income for trailing twelve months. Profitability data is based on the company's most recent annual report filed with the SEC.