Recent Annual Filings for BATRA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $41,168,000,000 $12,525,000,000 $10,462,000,000 $1,014,000,000 $2,464,000,000 $-1,473,000,000 $-249,000,000
2022 $42,464,000,000 $12,164,000,000 $10,100,000,000 $1,990,000,000 $2,546,000,000 $-3,148,000,000 $-648,000,000
2021 $44,351,000,000 $11,400,000,000 $9,423,000,000 $661,000,000 $2,437,000,000 $-1,698,000,000 $47,000,000
2020 $44,004,000,000 $9,363,000,000 $9,186,000,000 $-1,278,000,000 $1,730,000,000 $574,000,000 $1,571,000,000
2019 $44,189,000,000 $10,292,000,000 $8,822,000,000 $358,000,000 $2,313,000,000 $-1,773,000,000 $854,000,000
2018 $40,828,000,000 $8,040,000,000 $6,529,000,000 $850,000,000 $2,156,000,000 $-2,380,000,000 $-595,000,000
2017 $41,996,000,000 $7,594,000,000 $6,200,000,000 $1,925,000,000 $1,732,000,000 $1,868,000,000 $467,000,000
2016 $31,377,000,000 $5,276,000,000 $3,542,000,000 $914,000,000 $2,171,000,000 $-546,000,000 $361,000,000