Recent Annual Filings for BAH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,563,688,000 $10,661,896,000 $9,648,493,000 $585,905,000 $258,838,000 $-18,803,000 $149,395,000
2023 $6,550,652,000 $9,258,911,000 $8,812,063,000 $291,963,000 $602,822,000 $-425,854,000 $-291,048,000
2022 $6,025,575,000 $8,363,700,000 $7,678,519,000 $504,933,000 $736,526,000 $-163,846,000 $-295,045,000
2021 $5,499,601,000 $7,858,938,000 $7,104,567,000 $625,188,000 $718,684,000 $-311,346,000 $249,054,000
2020 $4,793,966,000 $7,463,841,000 $6,794,639,000 $447,792,000 $551,428,000 $34,562,000 $457,911,000
2019 $3,831,841,000 $6,704,037,000 $6,101,643,000 $422,445,000 $499,610,000 $-413,366,000 $-2,968,000
2018 $3,603,366,000 $6,171,853,000 $5,651,768,000 $309,933,000 $369,143,000 $-203,149,000 $69,541,000
2017 $3,373,105,000 $5,804,284,000 $5,320,037,000 $255,026,000 $382,277,000 $-51,493,000 $29,888,000