Recent Annual Filings for BALY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,860,137,000 $2,450,478,000 $2,708,806,000 $-618,463,000 $113,999,000 $-287,840,000 $-84,008,000
2023 $6,861,103,000 $2,449,073,000 $2,345,064,000 $-101,418,000 $188,614,000 $65,755,000 $51,731,000
2022 $6,300,113,000 $2,255,705,000 $2,548,713,000 $-694,377,000 $270,971,000 $43,237,000 $-9,436,000
2021 $6,553,217,000 $1,322,443,000 $1,229,061,000 $-138,362,000 $82,754,000 $2,404,598,000 $148,285,000
2020 $1,929,855,000 $372,792,000 $391,178,000 $-6,743,000 $19,502,000 $366,397,000 $-58,947,000